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    <title>Investment Banking and Broker-Dealer Alerts</title>
    <link>http://www.haynesboone.com/</link>
    <description>Haynes and Boone alerts for the&amp;nbsp;Investment Banking and Broker-Dealer Practice</description>
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    <pubDate>Tue, 07 Sep 2010 08:05:03 GMT</pubDate>
    <lastBuildDate>Tue, 07 Sep 2010 08:05:03 GMT</lastBuildDate>
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      <title>The Impact of Dodd-Frank on Public Companies</title>
      <description>Haynes and Boone has prepared a summary of significant provisions of the Dodd-Frank Wall Street Reform and Consumer Protection Act that may have consequences for public companies and their officers and directors, as well as related entities, along with commentary on those provisions.</description>
      <link>http://www.haynesboone.com/The_Impact_of_Dodd-Frank</link>
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      <pubDate>Wed, 04 Aug 2010 00:00:00 GMT</pubDate>
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      <title>FINRA Issues Guidance Notice Reminding Broker-Dealers of their Due Diligence and Suitability Obligations in Private Placement Offerings</title>
      <description>The Financial Industry Regulatory Authority (FINRA) issued a Regulatory Notice to its members (FINRA Regulatory Notice 10-22) outlining and reminding them of their regulatory responsibilities in connection with Regulation D private placement offerings.</description>
      <link>http://www.haynesboone.com/FINRA_Issues_Guidance_Notice</link>
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      <pubDate>Thu, 22 Apr 2010 00:00:00 GMT</pubDate>
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