Corporate Managing Partner Mark Solomon, who leads Katten’s Dallas office, sat down with Bloomberg Law to discuss the deals he finds most rewarding, the trends he is watching and the policy shifts reshaping corporate law in Texas. Mark also highlighted
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Christopher Collins Comments on Compliance Risks for Crypto Firms Seeking FCA Authorization
Financial Markets and Funds Partner Christopher Collins spoke with Law360 UK about the challenges crypto businesses face in seeking authorization under the Financial Conduct Authority’s (FCA) new cryptoasset regime. The article reports that criminals using artificial intelligence (AI) could break…
Charlotte Hill Discusses Senior Manager Accountability for Frontier AI Risks
Financial Markets and Funds Partner Charlotte Hill offered commentary in Law360 on how far senior managers should be held accountable for the growing risks posed by frontier artificial intelligence (AI), and whether the Financial Conduct Authority (FCA) should issue further…
Michael L. Sherlock Speaks With Asset TV About Business Succession Planning
Joshua Rubenstein Quoted in Citywealth on the ‘Booming Business of Horses'
Citywealth quoted Joshua S. Rubenstein, partner and global chair of the Private Wealth Department at Katten, in the article “AI, Billionaires and the Booming Business of Horses.” The article examines why the racehorse and bloodstock market is so strong in…
Jacques Semmelman Discusses the Cross-Border Reach of US Sanctions with Citywealth
Commercial Litigation Partner Jacques Semmelman spoke with Citywealth about how US sanctions can reach international financial arrangements through the way transactions are structured and paid. A former Assistant US Attorney experienced in cross-border disputes, Jacques explained the practical risks this…
Neil Robson: Newer Market Entrants ‘Highly Vulnerable' as FCA Regulatory Reference Rules Broaden
Law360 recently spoke with Financial Markets and Funds Partner Neil Robson regarding the Financial Conduct Authority’s (FCA) extension of non-financial misconduct rules to 37,000 non-bank firms, which, since September 1, have been required to provide more detail about non-financial misconduct…
Susan Light on FINRA's Push for Stronger Due Process and Transparency
The Hedge Fund Law Report spoke with Partner and Broker-Dealer Regulation Co-Chair Susan Light about a new Financial Industry Regulatory Authority (FINRA) report, released on June 30, 2026, as part of the agency’s ongoing FINRA Forward project. Prepared by two…
Neil Robson Discusses FCA Non-Financial Misconduct Regime With Law360
Law360 recently spoke with Financial Markets and Funds Partner Neil Robson regarding the Financial Conduct Authority’s (FCA) new rules on non-financial misconduct, which take effect this week and will hold some 37,000 non-banking finance businesses, including asset managers and insurers,…
A Message From Katten
After approximately 16 years of publication, today is our final official edition of Corporate & Financial Weekly Digest. On behalf of our attorneys, editors and all of our authors, we are proud to have been a reliable source on trending…