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.
Author(s)
Related Insights
December 23, 2025
Energy Current
FERC Opens New Paths for Co-Located Loads in PJM: What Data Center and Power Generation Developers Need to Know
Key Takeaways FERC has ordered PJM to overhaul its tariff framework for co-located generation and large loads, finding existing rules…
December 23, 2025
Foley Viewpoints
The Rush to Exit: PE Firms Pick Up the Pace in 2025
Key Points: PE firms are moving to sell portfolio companies on an accelerated timeline in 2025 after years of much longer hold…
December 23, 2025
Tariff & International Trade Resource
Grandma Got Audited by a Reindeer
So…it’s Christmastime. Which can only mean it’s time for the Christmas tradition that everyone has been waiting for all year…our annual holiday compliance parody article!