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Articles & Interviews

Diversity & Inclusion

The HNBA At 40: Fostering Excellence In The Latino Legal Community

Editor: Please tell us about your professional backgrounds. Tejada: I am a litigator at Kaufman Dolowich Voluck & Gonzo LLP (KDVG), where I represent management and companies in employment defense matters. I’ve been practicing for over 12 years and my practice is largely in New Jersey...

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Private Equity

FCPA Regulators Set Sights On Private Equity

The private equity industry is the latest target of an unprecedented explosion in Foreign Corrupt Practices Act ("FCPA") enforcement by U.S. regulators. As the industry expands to emerging markets overseas and faces new Dodd-Frank regulations, private equity firms and hedge funds are...

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Securities & Exchange Commission (SEC)

Reminder: Rule 13h-1 (the Large Trader Reporting Rule) Compliance Date Is December 1, 2011; Effective Date Was October 3, 2011

On October 3, 2011, the Securities and Exchange Commission’s (the “SEC”) Rule 13h-1 (the “Rule”) became effective. The Rule, which was adopted on July 26, 2011, under Section 13(h) of the Securities and Exchange Act of 1934, as amended, establishes a new reporting...

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