Directors at Risk for Investment Banker Conflicts

23 May 2014 Bloomberg BNA Corporate Law & Accountability Report Publication
Authors: Gardner F. Davis

Bloomberg BNA Corporate Law & Accountability Report

Partner Gardner Davis authored an article published in Bloomberg BNA Corporate Law & Accountability Report on May 23, 2014, titled “Directors at Risk for Investment Banker Conflicts.” The article explained the steps that directors should take in assessing potential investment banker conflicts of interest. It suggested that directors should address potential conflicts of interest when selecting an investment banker and consider limiting the sell-side financial advisor’s ability to participate in buy-side financing.

Related Services

Insights

A Review of Recent Whistleblower Developments
19 July 2019
Legal News: Whistleblower Developments
Cloud security inadequate for Cyber threats, are you surprised?
19 July 2019
Internet, IT & e-Discovery Blog
Blockchain: A Tool With a Future in Healthcare
18 July 2019
Health Care Law Today
Do You Know What IMMEX Stands For?
16 July 2019
Dashboard Insights
Review of 2020 Medicare Changes for Telehealth
11 December 2019
Member Call
2019 NDI Executive Exchange
14-15 November 2019
Chicago, IL
MAGI’s Clinical Research Conference
29 October 2019
Las Vegas, NV
Association for Corporate Counsel Annual Meeting 2019
27-30 October 2019
Phoenix, AZ