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Securities & Financial News to Note : Bulletin - February 6, 2012

This bulletin is published every other week on Monday and is disseminated via electronic mail. It features brief summaries of current legal developments in the SEC/corporate, accounting/tax, banking, litigation, as well as other business and financial service areas when appropriate.

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Financial Institutions: Alert - January 31, 2012

The Dodd-Frank Wall Street Reform and Consumer Protection Act impacted many investment advisers who previously were not registered.

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Articles & White Papers

Sovereign Wealth Funds, Corporate Liquidity Problems and the Foreign Investment and National Security Act of 2007
 

The Metropolitan Corporate Counsel, Vol. 16, No. 3

March 1, 2008
 
Robert Burns- New York
Christopher G. Kelly- New York

This article discusses the recent increase in U.S. investment activity by sovereign wealth funds, and highlights the obstacles and uncertainties posed by the Foreign Investment and National Security Act (FINSA), enacted in July 2007.

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