Category Archives: Treatise

Treatise Update: Holtzschue on Real Estate Contracts and Closings: A Step-by-Step Guide to Buying and Selling Real Estate (Third Edition)

Holtzschue on Real Estate Contracts and Closings provides thorough legal, technical, and strategic guidance to help implement dispute-free residential deals more quickly and easily. This practice guide clearly explains the governing law and customary industry practices to ensure that readers can successfully prepare for a sale or purchase of real estate, including knowing how to deal with the appropriate documents, tax issues, and brokers, drafting and negotiating the contract. Readers also receive a comprehensive dive and real-life examples of negotiation tactics, lease modifications, proactive planning of troublesome developments, drafting errors, liability mitigation measures, eviction considerations, on-premises conditions and repairs, and considerations relevant to different lease types.

The new release includes the following updates:

  • Chapter 1, Preparing for the Sale or Purchase, provides an updated discussion on financing.
  • Chapter 2, Drafting and Negotiating the Contract, includes the N.Y.S. Association of Realtors guidance effective August 17, 2024, for compliance with the National Association of Realtors’ antitrust brokerage commissions settlement.
  • Chapter 3, Preparing for the Closing, provides an updated discussion of deed descriptions.
  • Chapter 4, The Closing,includes the latest case developments.

The Tables of Authorities and Index have also been updated.

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New Title! Practitioner’s Deskbook on Evidence

PLI Press is proud to announce the publication of the new practice guide Practitioner’s Deskbook on Evidence.

A comprehensive analysis of the law of evidence and practice, this new book focuses on the Federal Rules of Evidence and its interpretive case law that represents the prevailing evidence law in the United States. The text covers all facets of evidence law and practice, including relevance and unfair prejudice, hearsay and its exemptions and exceptions, the Confrontation Clause, direct examination, cross-examination, the various impeachment methods, real and illustrative evidence, and documentary and electronic evidence. The book uniquely combines both the law and practical aspects of evidence law.

Notably, Practitioner’s Deskbook on Evidence covers the following important topics:

  • Procedural Issues: Objections, Rulings, and Appellate Review (see Chapter 2)
  • Character, Other Act, and Habit Evidence (see Chapter 4)
  • The Confrontation Clause (see Chapter 8)
  • Witness Competence (see Chapter 9)
  • The Law and Art of Cross-Examination (see Chapter 11)
  • Expert Testimony and Lay Opinion Testimony (see Chapter 13)
  • Documentary and Electronic Evidence (see Chapter 15)
  • Federal Rules of Evidence(see Appendix A)

We are excited to share this new title with you!

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Baby Reindeer Meets PLI

We are thrilled to share that Lyrissa Lidsky, a leading expert on defamation and author of PLI’s treatise Sack on Defamation: Libel, Slander, and Related Problems (Fifth Edition), was recently quoted in the New York Times in an article about the high-profile  Baby Reindeer defamation lawsuit. Check out the article:  “Based on a True Story, or a True Story? In ‘Baby Reindeer’ Lawsuit, Words Matter.” 

Order a print copy of Sack on Defamation today.

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Treatise Update: Commercial Ground Leases (Fourth Edition)

Commercial Ground Leases (Fourth Edition) acquaints readers with key concepts, dispute resolution practices, and drafting strategies concerning commercial ground leases. The book features enlightening discussions on base and ground rents, reappraisals, tenant and landlord financing, subletting, exculpatory clauses, mortgage financing, insurance and damage considerations, defaults, redemption, and rights to repurchase, inflation indexing and other important commercial ground lease concepts, along with dozens of practice-ready forms and checklists.

The new release includes the following updates:

  • Chapter 3, Base Rent and Other Payments, includes an updated discussion of indexing and step rents.
  • Chapter 4, Reappraisal of Ground Rents, highlights a new discussion that traces the history of ground rent resets and provides an annotated form of reappraisal clause involving both use value and highest and best use reappraisal techniques.
  • Chapter 8 , Leasehold Financing, includes new lease provisions.
  • Appendix A, Ground Lease, includes updated Annual Minimum Rent provision during the Extended Term involves both use value and highest and best use reappraisal techniques.
  • Appendix X, Inflation Indexing, is updated with Chart 5, which covers the years 1950 to 2024, a total of seventy-five years.

The Tables of Authorities and Index have also been updated.

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Treatise Update: Exempt and Hybrid Securities Offerings (Fourth Edition)

Exempt and Hybrid Securities Offerings (Fourth Edition) is a comprehensive reference on exempt and hybrid securities offerings, and a practical handbook, with step-by-step guides, practice pointers, and forms. This title gives practical guidance for each principal type of exempt offering, including private placements, venture capital financings, institutional debt private placements, PIPE transactions, structured PIPE transactions, Regulation A offerings, crowdfunding transactions, registered direct offerings, continuous offering programs, and more!

The new release includes the following updates which address important market and practice developments affecting exempt offerings:

  • Trends in the PIPE transaction market, registered direct offering market, and trends in at-the-market offerings
  • Proposed changes to the accredited investor definition
  • Proposed changes to Regulation D, Form D, and the Section 12(g) threshold
  • Changes to the NVCA forms
  • Amendments to Regulation M
  • Enforcement activity relating to Regulation M
  • Amendments to the rules of the securities exchanges relating to shareholder approval requirements
  • FINRA Notice to Members 23-08 relating to Private Placements
  • FINRA and other enforcement actions relating to Private Placements
  • The introduction of Rule 145a

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Bankruptcy Deskbook (Fifth Edition)

Bankruptcy Deskbook provides you with practical guidance to help clients achieve fair remedies and to ensure you avoid legal problems along the way. This treatise covers the demands on Chapter 7 debtors, rules for Chapter 11 small business debtors, requirements for Chapter 13 individual debtors and compliance burdens on attorneys — including strict certification requirements and fee-arrangement disclosure rules that, if unmet, can lead to harsh sanctions. This book guides you step-by-step through the bankruptcy laws, clarifying the purpose, features, mechanics, advantages, and drawbacks of Chapters 7, 11, 12 and 13 in the era of BAPCPA.

All chapters in this treatise have been updated in this release to incorporate the most recent case law affecting issues such as:

  • Whether bankruptcy courts are bound by the “case-or-controversy” requirement that governs Article III courts.
  • Whether suits between non-debtors that might diminish the estate are deemed to be “related to” the debtor’s bankruptcy.
  • Whether an award of damages to remedy a stay violation is entitled to post-judgment interest.
  • Whether the ruling in Bartenwerfer is to be limited to situations involving agency or partner relationships.
  • Whether consolidation of an existing student loan satisfies the prepetition debt, creating a new post-petition debt that cannot be discharged without filing a new case.
  • Whether the failure of a creditor to cast a written vote constitutes acceptance or rejection of a bankruptcy plan.
  • Whether a settlement need be formally reduced to a writing to be approved by the bankruptcy court.

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Investment Adviser Regulation (Third Edition)

Investment Adviser Regulation: A Step-by-Step Guide to Compliance and the Law (Third Edition) is an essential resource for investment advisers, securities attorneys, compliance personnel, and federal and state regulators. This treatise guides practitioners through the maze of statutory, SEC, and state standards impacting investment advisers, as well as provides advice on the practical aspects of building a practice. It also clarifies key status issues that determine registration and disclosure duties as well as liability exposure.

Highlights of updated information in the latest release include:

  • Chapter 3, The Jurisdictional Divide Between the SEC and the States. Discussion of recently adopted amendments to Rule 203A-2(e) (commonly known as the “Internet Adviser Exemption”) (see section 3:2.3[C]).
  • Chapter 32, SEC Record-Keeping Requirements. In connection with adopting amendments to Rule 15c6-1(a) under the Exchange Act to shorten the standard settlement cycle for most broker-dealer trans- actions from T+2 to T+1, the SEC also adopted amendments to Rule 204-2 under the Investment Advisers Act that require all registered investment advisers to make and keep certain records for any transaction that is subject to the amended requirements. New discussion reviews these record-keeping requirements (see section 32:2.16).
  • Chapter 48, Advisers to Private Equity Funds—Practical Compliance Considerations. Discussion of the May 3, 2023, SEC amendments to Form PF requiring current reporting upon the occurrence of key events (see section 48:2.4[F]); and new discussion of the Private Fund Advisers Rule, which includes sweeping new rules and amendments to the Advisers Act applicable to private fund advisers (see section 48:7).
  • Chapter 49C, Offering Cross-Border Advisory and Broker-Dealer Services to Non-U.S. Clients; and Chapter 49E, Offering Cross-Border Investment Products and Advisory Services to Clients in Latin America. Discussion of Rule 206(4)-1 under the Investment Advisers Act  (“Marketing  Rule”),  governing  investment  adviser marketing by replacing the prior investment adviser advertising and cash solicitation rules (see section 49C:2.8 and section 49E:4.2[E]).
  • Chapter 62, Investment Management M&A. Discussion reviews the Inflation Reduction Act (see section 62:4.1).

To aid in your research, the Table of Authorities and Index have been updated.

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Treatise Update: Mutual Funds and Exchange Traded Funds Regulation (Third Edition)

Mutual Funds and Exchange Traded Funds Regulation (Third Edition) offers professionals who work at or advise mutual and exchange-traded funds an in-depth look into the SEC and DOL rules that impact these funds. Readers will discover insights on taxation considerations, prospectus delivery and disclosure standards, safe harbors, valuation practices, compliance concerns, conflicts of interest, contract drafting, marketing, and inspector request response strategies.  

The new release includes updates to the following chapters:

  • Chapter 11, Proxy Voting, reviews the SEC’s July 2022 rescission of part of the 2020 amendments to the proxy and solicitation rules under the Exchange Act; the November 2022 SEC amendments designed to enhance disclosures by investment companies regarding proxy votes; and the 2022 DOL Rule changes to the prior rulemaking.
  • Chapter 25, SEC Inspections, provides updated discussions on routine examinations and the characteristics the SEC’s Office of Compliance Inspections and Examinations (EXAMS) uses when ranking firms; and the incorporation of the new Marketing Rule into the examination process.
  • Chapter 32, Money Market Funds, covers Rule 2a-7 and the other rules (the “2023 Amendments”) that govern money market funds, including changes to the liquidity fee and redemption gate framework under Rule 2a-7; and disclosure Form N-1A and Form N-MFP. New discussion of the amendment to Rule 2a-7 to allow stable NAV money market funds to implement a reverse distribution or similar share cancellation mechanism (RDM) that would reduce the number of the fund’s outstanding shares in order to maintain a stable share price in a negative interest rate environment.
  • Chapter 35,Exchange-Traded Funds, includes revisions to Rule 12d1-4 under the Investment Company Act, a new rule designed to streamline and enhance the regulatory framework for funds that invest in other funds (“funds of funds”).
  • Chapter 45, Investment Management M&A, discusses the Inflation Reduction Act.

The Table of Authorities and Index have also been updated for this release.

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Treatise Update: Sinclair on Federal Civil Practice (Fifth Edition)

Sinclair on Federal Civil Practice is a two-volume treatise that is designed to give quick and authoritative answers for issues arising in federal civil litigation and to serve as a guide to the principal rules and tactical considerations guiding lawsuits in the federal courts. It starts with the layout of the court system and the nature of its key personnel, followed by jurisdiction and venue principles, and then turns to the sequence of litigation, from pleading to discovery, trial, and then appeal, while explaining the rationale of the rules, citing the key interpretive cases, and offering court-tested practice tips.

The new release includes the following updates:

  • Chapter 1: The Federal Judicial System includes a new detailed discussion of alternative dispute resolution in federal civil practice.
  • The Compendia of Recent Cases includes numerous recent federal cases, providing a quick resource for identifying relevant authorities (See the Compendia of Recent Cases Volume 1 and Volume 2).

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Treatise Update: Commercial Legal Finance

Commercial Legal Finance is a comprehensive guide to the commercial legal finance industry that offers practical guidance on the mechanics of litigation and arbitration finance in key jurisdictions and practice areas around the world. This book introduces the benefits and use cases for commercial legal finance for in-house and law firm lawyers and addresses key questions concerned with legal finance structures, pricing, and mechanics, providing a step-by-step overview of the process for obtaining legal finance.

Highlights from the new release include:

  • New Chapter on Legal Finance and Insurance: As the commercial legal finance field has developed to address the needs of businesses to transfer or share legal risk, it has intersected with another discipline that regularly trades in such risk: the commercial insurance industry. This new chapter discusses the relationship between legal finance and insurance products that facilitate or complement the funding and monetization of legal claims offered by legal financiers (see Chapter 12).

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