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Detroit's "Fiscal Cliff" and Michigan's Response
December 13, 2012 | Blog | By William Kannel
Detroit’s increasingly distressed financial condition has created a dynamic and rapidly evolving situation where the potential of a Chapter 9 filing appears to be the subject of renewed discussion and legislative attention.
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Conflicts Disclosure and Acknowledgments in MSRB Rule G-17 Disclosure Letters
October 3, 2012 | Blog | By Charles Carey
Since August 2, 2012, investment banking firms retained to act as underwriters on municipal finance transactions have been required to provide written disclosure to issuers concerning the relationship between issuers and underwriters.
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Special Revenue Decision Posted in Jefferson County Bankruptcy Case
June 29, 2012 | Blog
Please find today’s special revenue decision in the Jefferson County bankruptcy case.
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IRS Warns That Financial Restructurings Can Jeopardize Tax-Exemption of Bonds
June 12, 2012 | Blog
The IRS is planning on sending out letters (“Letters”) over the next few months to several hundred issuers who have experienced covenant or payment defaults from 2007 to the present.
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SEC Issues Investor Bulletin Regarding Municipal Bonds
March 21, 2012 | Blog | By Charles Carey
While the Investor Bulletin is fairly basic and addressed primarily to investors generally, the list of some of the risks of investing in municipal bonds included in the Bulletin may be helpful to issuers and underwriters when preparing or reviewing disclosure documents.
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SEC Focuses On Municipal Underwriter Compliance With Due Diligence Obligations
March 20, 2012 | Blog
On March 19, the SEC’s Office of Compliance Inspections and Examinations released a National Examination Risk Alert http://www.sec.gov/about/offices/ocie/riskalert-muniduediligence.pdf reporting on its examinations of broker-dealers for compliance with municipal bond underwriter due diligence obligations under the SEC’s prior interpretive releases and under SEC Rule 15c2-12.
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MSRB Proposes Limits on Underwriter Consents to Indenture Amendments
February 8, 2012 | Blog
The MSRB has put out for comment a proposed interpretive notice http://www.msrb.org/Rules-and-Interpretations/Regulatory-Notices/2012/2012-04.aspx designed to eliminate or reduce instances in which underwriters of new bonds issued under a parity indenture or bond resolution consent to amendments to such instrument on the issuance date of the new bonds.
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Regulations Issued for Remote Participation in Meetings Subject to the Massachusetts Open Meeting Law
December 14, 2011 | Blog | By John Regier
The Massachusetts Attorney General recently promulgated regulations authorizing remote participation in meetings subject to the Open Meeting Law under certain prescribed circumstances.
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Recent Developments Regarding Issuer Responsibility for Reviewing Initial Offering Prices of Bonds
November 9, 2011 | Blog
Following the advent of Build America Bonds (BABs) in 2009 and securities law rulemaking that has resulted in the posting of virtually instantaneous trading data on the EMMA website (msrb.emma.org) hosted by the Municipal Securities Rulemaking Board (MSRB)
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Harrisburg Chapter 9 Status Conference Highlights Eligibility Issues
October 17, 2011 | Blog | By William Kannel
The Bankruptcy Court held a status conference in the Harrisburg Chapter 9 earlier today. The principal purpose of the hearing was for the court to set a schedule for objections to Harrisburg’s chapter 9 eligibility.
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Holders of "Dirt Bonds" May Lack Plan Voting Rights in Developer Bankruptcies
September 21, 2011 | Blog | By William Kannel
In a decision that may have implications for holders of community development district bonds and other similar “dirt bonds,” a Florida bankruptcy court has ruled that holders of community development district bonds do not always have plan voting rights when the underlying developer — as opposed to the development district itself — is the bankruptcy debtor.
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Federal Appeals Court Rules Tribal Issuer's Trust Indenture is a Void "Management Contract"
September 7, 2011 | Blog
A case of interest to holders of bonds issued by Indian tribes to finance gaming facilities continues to wend its way through the courts. On September 6, 2011, the United States Court of Appeals for the Seventh Circuit issued its opinion in Wells Fargo Bank, National Association v. Lake of the Torches Economic Development Corporation.
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Supreme Court "Makes" Securities Fraud Recovery More Difficult
June 16, 2011 | Blog
Legislatures legislate, and courts decide what they meant. The principal federal law recourse for investors in municipal bonds and other unregistered securities for investment losses caused by fraudulent disclosure arises from a judicial reading of SEC Rule 10b-5 as creating an “implied” private cause of action.
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Amended IRS Regulation Facilitates Tax-Exempt Bond Restructurings
May 9, 2011 | Blog
Restructurings of tax-exempt bonds payable by an entity experiencing financial difficulties typically feature the yin of an obligor seeking debt relief that will permit it to operate without the stigma of potential insolvency and the yang of creditors who may wish to accommodate but do not want to leave money on the table.
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Different Bond Insurance, Better Ratings - Do Bondholders Need to Consent?
April 21, 2011 | Blog
As reported in the April 21, 2011 Bond Buyer, Assured Guaranty has announced its willingness to insure directly bonds originally insured by CIFG bond insurance, provided the existing CIFG bond insurance is extinguished.
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IRS Audit of CCRC Bonds' Tax-Exemption Resolved
February 16, 2011 | Blog
The much-publicized IRS audit of the Mission Ridge project in Montana has been resolved favorably, with the IRS concluding that the bonds are not “arbitrage bonds” and remain tax-exempt.
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A Surge in Cross-Border Municipal Bond Financings?
February 10, 2011 | Blog
It is not just Green Bay that is feeling super in Wisconsin these days. The Public Finance Authority, a conduit bond issuer established under Wisconsin law that began operations in 2010, has the statutory authority to provide tax-exempt financing in all 50 states.
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Unelected Board Members as Municipal Advisors: What is "Advice"?
January 27, 2011 | Blog
Various comment letters have been filed, and more are being prepared, on the can of worms opened up by the SEC’s December 20, 2010 interpretation that the term “municipal advisor” includes unelected board members of municipal entities who provide “advice” to the entity they serve regarding the issuance of municipal securities, swap transactions and/or investments.
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