Law360, New York ( August 8, 2013, 6:08 PM EDT) -- Rule 144A (17 CFR 230.144A) and Regulation S debt offerings involve a team of representatives of the issuer, together with external advisors. External advisors for a securities offering will typically include one or more investment banks to serve as the initial purchasers/underwriters of the securities, an independent auditing firm, outside legal counsel for the issuer, and a trustee or paying agent....
Law360 is on it, so you are, too.
A Law360 subscription puts you at the center of fast-moving legal issues, trends and developments so you can act with speed and confidence. Over 200 articles are published daily across more than 60 topics, industries, practice areas and jurisdictions.
A Law360 subscription includes features such as
- Daily newsletters
- Expert analysis
- Mobile app
- Advanced search
- Judge information
- Real-time alerts
- 450K+ searchable archived articles
And more!
Experience Law360 today with a free 7-day trial.