The Securities and Exchange Commission announced that it will hold an open meeting on August 23, 2023 during which it will consider, among other things, whether to adopt rules and amendments under the Investment Advisers Act of 1940 (“Advisers Act”) for private fund advisers and whether to adopt amendments to the compliance rule under the
Ryan Cornellier
SVB’s Collapse: Legal and Market Implications in the US and Israel
March 13, 2023 Webinar
10:30 a.m. – 11:30 a.m. EDT, 4:30 p.m. – 5:30 p.m. IL
Join Mayer Brown Financial Services Regulatory & Enforcement partners, Jeffrey Taft and Matthew Bisanz, and Banking & Finance partner, Meir Dominitz, together with ERM Finance and Banking partner, Amnon Epstein, for an interactive discussion on…
Silicon Valley Bank Developments – Q&A for Startups and VCs
The receivership of Silicon Valley Bank on March 10th has raised questions and concerns. A number of Mayer Brown partners have prepared this Q&A to provide some insight.
Equity Line Financings: Practical and Legal Considerations
September 7, 2022 Webinar
3:00pm – 4:00pm EDT
Register here.
Many SPACs and former SPACs, as well as other mid-cap public companies, are considering financing through equity line financing arrangements. Equity line transactions are similar in many ways to the more common at-the-market offering structure but distinct in important respects. During this briefing hosted…
Proposed SEC Rules for Private Fund Advisers
May 18, 2022 Webinar
1pm – 2pm EDT
Register here.
Join Mayer Brown partners Claire Ragen and Adam Kanter to hear diverse perspectives on the potential impact of the US Securities and Exchange Commission’s (SEC) recent proposed rules on private fund investors and sponsors. Topics will include potential considerations for investors and sponsors on…