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FATCA Compliance for Entities Issuing Collateralized Loan/Debt Obligations (10/23/14)

SEC Issues New CD+Is Regarding Rule 506 “Bad Actor” Disqualifications (10/23/14)

Updated Guidance Regarding New Private Placement Rules (10/23/14)

NYSE and Nasdaq Propose Amendments to Listing Standards Re: Compensation Committees and Advisers (10/23/14)

SEC Adopts Disclosure Rules on Conflict Minerals (10/23/14)

SEC Proposes Amendments to General Solicitation and Advertising Rules Under Securities Act Rules 506 and 144A (10/23/14)

Restructuring Capital Markets Debt: A Review of Legal Requirements and Structuring Options in Light of Market Opportunities (10/23/14)

Amita Gopinath (10/17/14)

Amita Gopinath is an Associate in the Corporate Department of Kaye Scholer’s New York office. She represents domestic and international clients across a broad spectrum of cross-border corporate transactions, including mergers and acquisitions. She also has experience advising portfolio companies of private equity firms, institutional lenders and borrowers, and global investment banks in relation to equity and asset acquisitions, financings, and debt and securities offerings.

Derek Stoldt (10/16/14)

Derek Stoldt began his practice as a corporate generalist, typically representing private equity funds and their portfolio companies in M&A, securities offerings, joint ventures and other complex contractual transactions. For the past ten years, Derek has focused his practice on representing life sciences and medical technology companies. Derek was named a “Life Sciences Star” in the 2013 and 2014 editions of Euromoney’s LMG Life Sciences.

Michael Penney (10/13/14)

Michael Penney is Counsel in the Corporate Department of Kaye Scholer’s Chicago office. He advises clients on a broad range of corporate transactions, including cross-border and domestic mergers and acquisitions, joint ventures, public equity and debt offerings, venture equity and debt transactions and strategic investments. He also has significant experience advising on general corporate, securities law and compliance matters. His clients have included international financial institutions, asset management platforms, specialty finance and business development companies, financial technology companies, as well as life science and technology start-ups and public companies.


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