Try our Advanced Search for more refined results
Asset Management
- 
									September 08, 2025
									Morgan Stanley Raises $900M For Japan Real Estate FundMorgan Stanley's real estate investment arm said Monday that it has raised $900 million for a new fund to invest in Tokyo, Osaka and other major markets in Japan based on trends such as high return-to-office rates and growth in office employment. 
- 
									September 08, 2025
									Kirkland-Led One Equity Partners Clinches $3.25B 9th FundKirkland & Ellis LLP-advised One Equity Partners on Monday announced that it wrapped its latest and largest fund to date after securing $3.25 billion from investors. 
- 
									September 05, 2025
									SEC Lost Year's Worth Of Gary Gensler Texts, Watchdog SaysThe U.S. Securities and Exchange Commission made "avoidable errors" that caused the agency to lose all text messages sent and received by former chair Gary Gensler for nearly a year of his tenure, some of which haven't been recovered, according to a report from the SEC's Office of Inspector General. 
- 
									September 05, 2025
									SEC, CFTC Set Sights On Crypto In Regulatory CollabThe U.S. Securities and Exchange Commission and the U.S. Commodity Futures Trading Commission said Friday they are moving forward with a broad regulatory harmonization effort that they hope will encourage innovation in growing markets, and lawyers tell Law360 they expect the focus to be writing rules governing the crypto sector. 
- 
									September 05, 2025
									Fla. Judge Trims Trump Media SPAC Exec Hacking SuitA Florida federal judge has sent into discovery a suit alleging a board director for President Donald Trump's social media company and his associate hacked a cloud server to steal documents used to oust the former CEO of the company, finding that several computer fraud and conspiracy claims fail but allowing a breach of fiduciary duty claim to move forward. 
- 
									September 05, 2025
									HCA Healthcare Can't Halt Discovery In 401(k) Forfeiture SuitA Tennessee federal judge denied HCA Healthcare's bid Friday to stop discovery while the court considers its motion to toss a worker's suit claiming it illegally used forfeited 401(k) funds to cover its own contribution costs, finding the alleged novelty of her claims can't block case information collection. 
- 
									September 05, 2025
									Lindberg Challenges Receivership After $524M Arbitral AwardInsurance mogul Greg Lindberg, who pled guilty to defrauding policyholders and was convicted of attempting to bribe North Carolina's insurance commissioner, urged a state appeals court to overturn the appointment of a receiver over his worldwide assets, after he was hit with a $524 million arbitration award. 
- 
									September 05, 2025
									Paris-Based SPAC Joins US Pipeline Targeting $100M ListingGreenberg Traurig LLP will lead a Paris-based blank check company's planned $100 million initial public offering targeting a diverse portfolio of U.S. companies, according to the special purpose acquisition company on Friday. 
- 
									September 05, 2025
									IPO Market Gears Up For Late-Year Surge In New ListingsInitial public offerings appear poised for a surge to finish the year as the uncertainty surrounding President Donald Trump's sweeping tariff actions and geopolitical tensions has subsided, with experts saying that companies are getting more comfortable hitting the public markets. 
- 
									September 05, 2025
									Taxation With Representation: Milbank, Wachtell, LathamIn this week's Taxation With Representation, aircraft lessor Air Lease Corp. agrees to a take-private deal, Evernorth Health Services invests billions in Shields Health Solutions, Cadence Design Systems Inc. acquires the design and engineering business of Hexagon AB, and Kraft Heinz Co. plans to split into two independent, publicly traded companies. 
- 
									September 04, 2025
									Hedge Fund Shareholders Push To Dismiss $300M Asset SuitA derivative lawsuit from shareholders who allege that leaders of an investment fund allowed an exchange of over $300 million in diversified assets for "worthless" illiquid equity considers a novel issue of Delaware law and should be dismissed without prejudice, counsel for the shareholders told the North Carolina Business Court on Thursday at a hearing. 
- 
									September 04, 2025
									Asset Manager Seeks OK Of $53M Mexican Bank AwardAn asset management firm has urged a New York federal court to enforce a more than $53 million arbitral award it won in a dispute over management fees due under a trust agreement with a Banamex unit. 
- 
									September 04, 2025
									Trader With Middle Name 'Danger' Owes $3.8M In SEC ClaimsA securities trader with the middle name "Danger" who was sentenced to nearly four years in prison after copping to a federal wire fraud charge in connection with a $2.9 million Ponzi scheme, is also on the hook for $3.8 million in disgorgement and prejudgment interest in a parallel U.S. Securities and Exchange Commission suit, a California federal judge has ruled. 
- 
									September 04, 2025
									SEC, CFPB Rulemaking Agendas Show Deregulatory PushFederal regulators overseeing the financial services sector on Thursday unveiled new rulemaking agendas that they say will return their agencies to their core missions with policies to define authority and limit compliance burdens. 
- 
									September 04, 2025
									Ropes & Gray Leads Carlyle Unit's $20B Secondary RaiseGuided by Ropes & Gray LLP, a unit of The Carlyle Group said Thursday it has raised $20 billion for its latest secondary fund, which has more than 325 new and existing investors who have committed capital to provide liquidity solutions. 
- 
									September 04, 2025
									NY AG Appeals Toss Of $500M Trump Fine In Civil Fraud CaseNew York's attorney general said Thursday she will challenge an appeals court's decision to throw out what it called an "excessive" $489 million civil fraud penalty against President Donald Trump and his sons, his companies, and executives of his companies. 
- 
									September 04, 2025
									AARP Attys Back Suit Challenging TIAA's 401(k) ManagementAARP attorneys have offered their resources to a proposed class action claiming the Teachers Insurance and Annuity Association of America shirked federal benefits law by failing to cut costly and underperforming proprietary investment funds from its workers' retirement plans. 
- 
									September 04, 2025
									7th Circ. Doubts Investor's Priority To $2.5M In Fraud FundsSeventh Circuit judges seemed skeptical Thursday of a real estate banking firm's argument it should have been prioritized over other investors with respect to proceeds from the liquidation of assets related to an alleged $135 million Ponzi scheme, pointing to evidence the firm noticed red flags but dropped the ball in investigating. 
- 
									September 04, 2025
									Returning SPAC Teams Kick Off Fresh IPOs Totaling $400MOne SPAC targeting growth-focused U.S. businesses began trading on Thursday while another focused on the natural resources and decarbonization sectors was set to begin trading Friday, with the two having raised a combined $400 million in initial public offerings. 
- 
									September 04, 2025
									Quantinuum Hits $10B Valuation After $600M Capital RaiseQuantum computer developer Quantinuum, advised by Freshfields LLP, on Thursday revealed that it reached a pre-money equity valuation of $10 billion following a $600 million equity raise led by industrial conglomerate Honeywell. 
- 
									September 04, 2025
									5 Firms Guide Rithm Capital's Crestline BuyFive firms steered real estate-focused investment firm Rithm Capital Corp.'s purchase of Crestline Management, adding and expanding the firm's private credit, insurance and reinsurance capabilities with the acquisition. 
- 
									September 04, 2025
									Which GCs Sold Stock In August? Carlyle Group And MoreGeneral counsel Jeffrey W. Ferguson, who has been with the Carlyle Group for 26 years, cashed in some $19 million worth of stock in August. 
- 
									September 04, 2025
									Gov't Backs Funds Against Activist Investor Before High CourtThe federal government and the U.S. Chamber of Commerce have filed amicus briefs in support of a group of investment funds that are asking the U.S. Supreme Court to constrain the rights of private parties to file lawsuits under the Investment Company Act. 
- 
									September 04, 2025
									PBM Rule Included In DOL Benefits Arm's Regulatory UpdateThe U.S. Department of Labor's employee benefits arm detailed several new regulations in the works Thursday, including a new fee disclosure rule involving pharmacy benefit managers and plans to revisit retirement plan fiduciary investment advice regulations, according to the administration's latest regulatory update. 
- 
									September 04, 2025
									Cube Highways Trust Mulls $600M IPO, Plus More RumorsIndian infrastructure investment trust Cube Highways Trust is considering a $600 million initial public offering, premium diaper brand Coterie is in talks to be acquired by consumer goods business Mammoth Brands, and European antitrust regulators have reportedly paused their investigation into ADNOC's $17.1 billion acquisition of German chemicals producer Covestro. 
Expert Analysis
- 
								
								How High Court's Cornell Decision Will Affect ERISA Suits  The U.S. Supreme Court's recent decision in Cunningham v. Cornell, characterizing prohibited transaction exemptions as affirmative defenses, sets the bar very low for initiating Employee Retirement Income Security Act litigation, and will likely affect many plan sponsors with similar service agreements, says Carol Buckmann at Cohen & Buckmann. 
- 
								Series Power To The Paralegals: The Value Of Unified State Licensing  Texas' proposal to become the latest state to license paraprofessional providers of limited legal services could help firms expand their reach and improve access to justice, but consumers, attorneys and allied legal professionals would benefit even more if similar programs across the country become more uniform, says Michael Houlberg at the University of Denver. 
- 
								
								1st Circ. Ruling May Slow SEC Retail Investment Advice Cases  The First Circuit's recent ruling, finding the U.S. Securities and Exchange Commission did not substantiate its $93.3 million fine against a retail investment adviser, may raise the threshold on materiality findings in these cases and add a speed bump resulting in fewer such actions, say attorneys at Weil. 
- 
								
								10 Soft Skills Every GC Should Master  As businesses face shifting regulatory and technological uncertainty, general counsel will need to strengthen certain soft skills to succeed, from admitting when they make a mistake to maintaining a healthy dose of dispassion, says Douglas Brown at Manatt. 
- 
								
								How Proxy Advisory Firms Are Approaching AI And DEI.jpg)  Institutional Shareholder Services' and Glass Lewis' annual updates to their proxy voting guidelines reflect some of the biggest issues of the day, including artificial intelligence and DEI, and companies should parse these changes carefully, say attorneys at Cahill Gordon. 
- 
								
								An Unrestrained, Bright-Eyed View Of Legal AI's Future  Todd Itami at Covington offers a bright-eyed, laughing-all-the-way, skydive look at what the legal industry could look like after an artificial intelligence revolution, which he believes may happen much sooner and more dramatically than we expect. 
- 
								
								Ban On Reputation Risk May Help Bank Enforcement Defense  The Comptroller of the Currency and Federal Deposit Insurance Corp.’s recent commitment to stop examining banks for reputation risk could help defendants in enforcement actions challenge unfavorable assessments and support defendants' arguments for lower civil money penalties, says Brendan Clegg at Luse Gorman. 
- 
								
								Tracking The Evolution In Litigation Finance  Despite continued innovation, litigation finance remains an immature market with borrowers recieving significantly different terms as lenders learn to value cases, which firms need a strong handle on to ensure lending terms do not overwhelm collateral value, says Robert Wilkins at Lightfoot Franklin. 
- 
								Series Volunteer Firefighting Makes Me A Better Lawyer  While practicing corporate law and firefighting may appear incongruous, the latter benefits my legal career by reminding me of the importance of humility, perspective and education, says Nicholas Passaro at Ford. 
- 
								
								Limit On SEC Enforcement Authority May Mean Fewer Actions  Following a recent U.S. Securities and Exchange Commission final rule revoking the Enforcement Division director's long-standing authority to issue formal investigation orders, it's clear the division is headed for a new era of limited autonomy, marked by a significantly slower pace of SEC investigations, say attorneys at Ballard Spahr. 
- 
								
								5 Ways Banking Has Changed In 5 Years Since COVID  Since the start of the pandemic five years ago, technology, convenience and shifting expectations have transformed compliance for the financial services industry in several key ways, from the shrinking role of the traditional bank branch to the rise of fintech and mobile payments, says Christopher Pippett at Fox Rothschild. 
- 
								
								E-Discovery Quarterly: The Perils Of Digital Data Protocols  Though stipulated protocols governing the treatment of electronically stored information in litigation are meant to streamline discovery, recent disputes demonstrate that certain missteps in the process can lead to significant inefficiencies, say attorneys at Sidley. 
- 
								Series Law School's Missed Lessons: Preparing For Corporate Work  Law school often doesn't cover the business strategy, financial fluency and negotiation skills needed for a successful corporate or transactional law practice, but there are practical ways to gain relevant experience and achieve the mindset shifts critical to a thriving career in this space, says Dakota Forsyth at Olshan Frome. 
- 
								
								OCC Patriot Bank Order Spotlights AML Issues For Managers  The Office of the Comptroller of the Currency's focus on payments and prepaid card program managers in its recent consent order with Patriot Bank is noteworthy and shows regulators are unlikely to back down on enforcement related to Bank Secrecy Act/anti-money laundering, say attorneys at Troutman Pepper. 
- 
								
								A Cold War-Era History Lesson On Due Process  The landmark Harry Bridges case from the mid-20th century Red Scare offers important insights on why lawyers must be free of government reprisal, no matter who their client is, says Peter Afrasiabi at One LLP.