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Managing Regulatory Compliance Risks in M&A

M&A Science

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Navigating M&A Compliance Risks

This chapter explores the complexities of managing regulatory compliance risks in mergers and acquisitions, particularly focusing on antitrust laws. It discusses substantive and procedural risks, the importance of the Hart-Scott-Rodino Act, and the need for compliance due diligence throughout the transaction process. The conversation emphasizes strategic planning and engagement with regulatory bodies to navigate the challenges of M&A successfully.

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