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    The Redemption ‘Make Whole’ Remedy Controversy
    2017-02-28

    An unexpected controversy has arisen recently in the high-yield bond market, one involving limiting the available remedies following default in the wake of last year’s decision by the Southern District of New York in Wilmington Savings Fund Society, FSB v.

    Filed under:
    USA, Insolvency & Restructuring, Litigation, Kramer Levin Naftalis & Frankel LLP, Bond (finance), US Securities and Exchange Commission
    Authors:
    Richard E. Farley
    Location:
    USA
    Firm:
    Kramer Levin Naftalis & Frankel LLP
    “You Can’t Always Get What You Want” - - Denial of Claimed Exemptions for Offshore Annuities
    2016-07-25

    The bankruptcy courts have a long history of being willing to use their judicial power under the Bankruptcy Code to prevent perceived efforts by debtors to inappropriately shield their assets from creditors. This is true even when the debtors employ structures and devices that are complex and crafted in seeming compliance with applicable law.

    Filed under:
    USA, Insolvency & Restructuring, Litigation, Squire Patton Boggs, Tax exemption, Bankruptcy, Conflict of laws, Debtor, Annuity, Life annuity, Tax haven, Securities fraud, Internal Revenue Service (USA), US Securities and Exchange Commission, United States bankruptcy court
    Authors:
    G. Christopher Meyer
    Location:
    USA
    Firm:
    Squire Patton Boggs
    CFTC creates separate bankruptcy account class for cleared otc derivatives
    2010-04-02

    The Commodity Futures Trading Commission has amended its bankruptcy rules (17 C.F.R. Part 190) to create a new “account class” for cleared over-the-counter (OTC) derivatives for purposes of calculating customer “net equity” and “allowed net equity” in the event of the bankruptcy of a futures commission merchant.

    Filed under:
    USA, Derivatives, Insolvency & Restructuring, Katten Muchin Rosenman LLP, Bankruptcy, Clearing (finance), Collateral (finance), Futures contract, Commodity broker, Over-the-counter (finance), US Securities and Exchange Commission, Commodity Futures Trading Commission (USA), Commodity Exchange Act 1936 (USA), Code of Federal Regulations
    Location:
    USA
    Firm:
    Katten Muchin Rosenman LLP
    House Committee on Financial Services holds hearing on Lehman Bankruptcy examiner’s report
    2010-04-26

    On April 20, the House Committee on Financial Services held a hearing to discuss public policy issues raised by last month’s report of court-appointed bankruptcy examiner for Lehman Brothers Holdings Inc. (Lehman Brothers), Mr. Anton R. Valukas. The Committee heard testimony from the following witnesses:

    Panel One:

    Filed under:
    USA, Capital Markets, Insolvency & Restructuring, Alston & Bird LLP, Bankruptcy, Audit, Board of directors, Accounting, Defamation, Balance sheet, US Securities and Exchange Commission, Federal Reserve (USA), FSAB, US House Committee on Financial Services, Chair of the Federal Reserve, Lehman Brothers, Ernst & Young, Chief executive officer
    Authors:
    Dianne Trenholm
    Location:
    USA
    Firm:
    Alston & Bird LLP
    Motion to dismiss Lehman-related securities class action denied
    2010-05-28

    Judge John Koeltl in the U.S. District Court for the Southern District of New York recently denied a motion to dismiss a securities class action arising, in part, from the Lehman Brothers bankruptcy filing.

    Filed under:
    USA, Banking, Capital Markets, Insolvency & Restructuring, Litigation, Katten Muchin Rosenman LLP, Bankruptcy, Surety, Class action, Maturity (finance), Involuntary dismissal, Lehman Brothers cases, US Securities and Exchange Commission, Verizon Communications, Lehman Brothers, Securities Exchange Act 1934 (USA), US District Court for the Southern District of New York
    Location:
    USA
    Firm:
    Katten Muchin Rosenman LLP
    Federal district courts may issue anti-litigation orders in SEC receivership matters
    2010-06-21

    On June 15th, the Second Circuit held that district courts may issue anti-litigation injunctions barring bankruptcy filings as part of their broad equitable powers in the context of an SEC receivership. SEC v. Byers. Reuters reported on the involuntary bankruptcy petitions filed by creditors which prompted the district court's anti-litigation order.

    Filed under:
    USA, Capital Markets, Insolvency & Restructuring, Litigation, Winston & Strawn LLP, Bankruptcy, Injunction, US Securities and Exchange Commission, Second Circuit
    Location:
    USA
    Firm:
    Winston & Strawn LLP
    Second Circuit affirms district court's power to prevent involuntary bankruptcy filings
    2010-07-09

    In a recent decision, SEC v Byers,1 the Second Circuit Court of Appeals held that district courts possess the authority and discretion to bar the filing of involuntary bankruptcy petitions without the district court’s permission.

    Filed under:
    USA, Capital Markets, Insolvency & Restructuring, Litigation, Paul, Weiss, Rifkind, Wharton & Garrison LLP, Bankruptcy, Debtor, Injunction, Patent infringement, Fraud, Preliminary injunction, US Securities and Exchange Commission, Second Circuit, Sixth Circuit
    Authors:
    Alan W Kornberg
    Location:
    USA
    Firm:
    Paul, Weiss, Rifkind, Wharton & Garrison LLP
    CFTC amends rule regarding operation of commodity brokers in bankruptcy
    2010-07-30

    The Commodity Futures Trading Commission has announced that it will amend its Regulation 190.04(d)(2) regarding the operation of a commodity broker in bankruptcy. Currently, a bankruptcy trustee is prohibited, immediately upon the commencement of the commodity broker’s bankruptcy case, from processing any new trades on behalf of customers of the commodity broker, with limited exceptions.

    Filed under:
    USA, Derivatives, Insolvency & Restructuring, Katten Muchin Rosenman LLP, Bankruptcy, Federal Register, Commodity, Commodity broker, US Securities and Exchange Commission, Commodity Futures Trading Commission (USA), Trustee
    Location:
    USA
    Firm:
    Katten Muchin Rosenman LLP
    Court emphasizes risks of dealing with known insolvent entity
    2010-08-16

    A recent 7th Circuit Court of Appeals decision shows the risks of dealing with an entity known to be insolvent and demonstrates that claimants, however deserving, can expect little sympathy from the courts. (Fusion Capital Fund II, LLC v. Richard Ham and Carla Aufdenkamp No. 09-3723 decided August 2, 2010)

    Filed under:
    USA, Insolvency & Restructuring, Litigation, Masuda Funai Eifert & Mitchell Ltd, Shareholder, Fraud, Board of directors, Limited liability company, Tortious interference, Attorney's fee, US Securities and Exchange Commission
    Authors:
    Stephen M. Proctor
    Location:
    USA
    Firm:
    Masuda Funai Eifert & Mitchell Ltd
    Financial regulatory reform - new orderly liquidation authority of FDIC; and resolution plans
    2010-09-02

    I. Introduction

    Filed under:
    USA, Banking, Capital Markets, Insolvency & Restructuring, Dentons, Bankruptcy, Consumer protection, Board of directors, Federal Reserve Board, Liquidation, Depository institution, Bank holding company, Default (finance), Convertible bonds, US Securities and Exchange Commission, Federal Deposit Insurance Corporation (USA), Federal Reserve (USA), Financial Stability Oversight Council, Lehman Brothers, Dodd-Frank Wall Street Reform and Consumer Protection Act 2010 (USA), Bank Holding Company Act 1956 (USA), US Secretary of the Treasury
    Authors:
    Mark I. Sokolow , Matthew Dyckman , Douglas J. McClintock , Gary L. Goldberg , Eleni Zanias
    Location:
    USA
    Firm:
    Dentons

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