Course Handbook   Course Handbook

Institute on Securities Regulation in Europe (Twelfth Annual): Overcoming Deal-Making Challenges in the Current Markets

Publication Date: January 2013 Number of Volumes: 2
ISBN Number: 9781402419324 Page Count: 2148 pages

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Download: Table of Contents   Index

Institute on Securities Regulation in Europe (Twelfth Annual) TOC, Vols. I & II
Chapter 1: European Regulatory Reform Progress Report--Update Chris Bates ~ Clifford Chance LLP
Chapter 2: "Shadow Banking": A Forward-Looking Framework for Effective Policy Edward F. Greene ~ Cleary Gottlieb Steen & Hamilton LLP
Chapter 3: European Commission: Green Paper--Shadow Banking Edward F. Greene ~ Cleary Gottlieb Steen & Hamilton LLP
Chapter 4: Strengthening the Oversight and Regulation of Shadow Banking: Progress Report to G20 Ministers and Governors Edward F. Greene ~ Cleary Gottlieb Steen & Hamilton LLP
Chapter 5: FSOC Poised to Begin Nonbank SIFI Designations Following Release of Final Rule Edward F. Greene ~ Cleary Gottlieb Steen & Hamilton LLP
Chapter 6: Policy Recommendations for Money Market Funds--Final Report From the OICU-IOSCO Edward F. Greene ~ Cleary Gottlieb Steen & Hamilton LLP
Chapter 7: OTC Derivative Regulation--The Benefits of Clearing Michael Kent ~ Linklaters LLP
Chapter 8: EMIR Update--ESMA Publishes Finalised Technical Standards Michael Kent ~ Linklaters LLP
Chapter 9: EMIR--ESMA Consultation Paper on Technical Standards Michael Kent ~ Linklaters LLP
Chapter 10: EMIR vs Title VII of the Dodd-Frank Act--OTC Derivatives Regulation in the U.S. and Europe: An Ocean Apart or Just Across the Pond? Michael Kent ~ Linklaters LLP
Chapter 11: Work Plan for the Consideration of Incorporating International Financial Reporting Standards Into the Financial Reporting System for U.S. Issuers--Final Staff Report from the Office of the Chief Accountant, United States Securities and Exchange Commission John W. White ~ Cravath, Swaine & Moore LLP
Chapter 12: Work Plan for the Consideration of Incorporating International Financial Reporting Standards Into the Financial Reporting System for U.S. Issuers, A Comparison of U.S. GAAP and IFRS, A Securities and Exchange Commission Staff Paper John W. White ~ Cravath, Swaine & Moore LLP
Chapter 13: IAASB: Invitation to Comment--Improving the Auditor's Report John W. White ~ Cravath, Swaine & Moore LLP
Chapter 14: IAASB: Feedback Statement--The Evolving Nature of Financial Reporting: Disclosure and Its Audit Implications John W. White ~ Cravath, Swaine & Moore LLP
Chapter 15: PCAOB: Standing Advisory Group Meeting--Auditor's Reporting Model John W. White ~ Cravath, Swaine & Moore LLP
Chapter 16: PCAOB Release No. 2012-004: Auditing Standard No. 16--Communications with Audit Committees; Related Amendments to PCAOB Standards; and Transitional Amendments to AU Sec. 380 John W. White ~ Cravath, Swaine & Moore LLP
Chapter 17: PCAOB--Information for Audit Committees About the PCAOB Inspection Process, Release No. 2012-003 John W. White ~ Cravath, Swaine & Moore LLP
Chapter 18: PCAOB Concept Release on Auditor Independence and Audit Firm Rotation, Release No. 2011-006 John W. White ~ Cravath, Swaine & Moore LLP
Chapter 19: PCAOB Concept Release on Possible Revisions to PCAOB Standards Related to Reports on Audited Financial Statements and Related Amendments to PCAOB Standards , Release No. 2011-003 John W. White ~ Cravath, Swaine & Moore LLP
Chapter 20: Financial Reporting Council--Effective Company Stewardship--Enhancing Corporate Reporting and Audit John W. White ~ Cravath, Swaine & Moore LLP
Chapter 21: Financial Reporting Council--Effective Company Stewardship Next Steps John W. White ~ Cravath, Swaine & Moore LLP
Chapter 22: European Commission--Proposal for a Regulation of the European Parliament and of the Council on Specific Requirements Regarding Statutory Audit of Public-Interest Entities John W. White ~ Cravath, Swaine & Moore LLP
Chapter 23: European Commission--Reforming the Audit Market--Frequently Asked Questions John W. White ~ Cravath, Swaine & Moore LLP
Chapter 24: FASB Codification John W. White ~ Cravath, Swaine & Moore LLP
Chapter 25: Heads Up--Announcing. . .Auditor Evaluation Tool for Audit Committees Joseph B. Ucuzoglu ~ National Managing Partner, Regulatory and Public Policy, Deloitte LLP
Chapter 26: Heads Up--PCAOB Approves Auditing Standard on Communications with Audit Committees Joseph B. Ucuzoglu ~ National Managing Partner, Regulatory and Public Policy, Deloitte LLP
Chapter 27: Heads Up--Information for Audit Committees About the PCAOB Inspection Process Joseph B. Ucuzoglu ~ National Managing Partner, Regulatory and Public Policy, Deloitte LLP
Consuelo Hitchcock ~ Division of Corporation Finance, Securities and Exchange Commission
Chapter 28: Heads Up--Still No Decision--SEC Issues Final Report on Incorporation of IFRSs Joseph B. Ucuzoglu ~ National Managing Partner, Regulatory and Public Policy, Deloitte LLP
Chapter 29: Mabey & Johnson--Dividends at Risk of Civil Recovery? Maybe Not Nilufer von Bismarck ~ Slaughter And May
Chapter 30: Complying with Bribery Laws in Key European Jurisdictions Nilufer von Bismarck ~ Slaughter And May
Chapter 31: The Bribery Act 2010--Revised SFO Policies on Facilitation Payments, Business Expenditure and Corporate Self-Reporting, Change of Tone or Change of Tack? Nilufer von Bismarck ~ Slaughter And May
Chapter 32: Who's Bribing Whom?--Do You Know, and Should You Care, What Your Suppliers Are up to? Nilufer von Bismarck ~ Slaughter And May
Chapter 33: The Bribery Act 2010: The Next Chapter Nilufer von Bismarck ~ Slaughter And May
Chapter 34: The UK's Bribery Act 2010--What Next? Nilufer von Bismarck ~ Slaughter And May
Chapter 35: The Bribery Act 2010--Guidance and Countdown to Commencement on 1 July 2011 Nilufer von Bismarck ~ Slaughter And May
Chapter 36: The Bribery Act 2010: The New Corporate Offence of Failing to Prevent Bribery Nilufer von Bismarck ~ Slaughter And May
Chapter 37: "Another Sherry, Vicar?"--A Practical Guide to the Bribery Act 2010 Nilufer von Bismarck ~ Slaughter And May
Chapter 38: Deferred Prosecution Agreements: A Missed Opportunity Diana Billik ~ Allen & Overy
Chapter 39: Bribery Act 2010: SFO's Revised Statements of Policy Diana Billik ~ Allen & Overy
Chapter 40: FSA Thematic Review into Anti-Bribery and Corruption Systems and Controls Diana Billik ~ Allen & Overy
Chapter 41: SFO Settles with Shareholder of Convicted Company Diana Billik ~ Allen & Overy
Chapter 42: Managing Integrity and Corruption Risks When Investing in Emerging Markets Peter Maher ~ Deloitte LLP
Chapter 43: Iran, Non-U.S. Banks, and Secondary Sanctions: Understanding the Trends Sean M. Thornton ~ Chief Counsel, Foreign Assets Control, Skadden, Arps, Slate, Meagher & Flom LLP
Chapter 44: Iran-Related OFAC Settlement May Have Broader Impact on Future Investments Sean M. Thornton ~ Chief Counsel, Foreign Assets Control, Skadden, Arps, Slate, Meagher & Flom LLP
Chapter 45: New Rules for UK Mortgage Lending
Chapter 46: Financial Services Daily News
Chapter 47: Latest Regulatory Developments Affecting the European Structured Finance Market: Regulation Continues to Challenge the Recovery of the Securitisation Market
Chapter 48: Independent Commission on Banking Report
Chapter 49: A New Approach to Financial Regulation: The Blueprint for Reform
Chapter 50: SEC Enforcement Developments 2012 John W. Banes ~ Davis Polk & Wardwell LLP
Chapter 51: DOJ and SEC Issue FCPA Guidance John W. Banes ~ Davis Polk & Wardwell LLP
Chapter 52: Extractive Industries New Disclosure Requirements: SEC Requires Disclosure of Government Payments by Extractive Companies; The EU Proposes Similar Requirements Extending Also to Logging and Potentially Other Sectors Sarah Murphy ~ Freshfields Bruckhaus Deringer LLP
Chapter 53: Changes to the Prospectus Regime from 1 July 2012--Investor "Walkaway Rights" for Prospectus Supplements for Exempt Offers Sarah Murphy ~ Freshfields Bruckhaus Deringer LLP
Chapter 54: ESMA Consults on Disclosure Requirements for Convertible and Exchangeable Bonds--Key Implications for Capital Markets Practitioners Sarah Murphy ~ Freshfields Bruckhaus Deringer LLP
Chapter 55: Changes to the Prospectus Regime from 1 July 2012--Key Implications for Equity Capital Markets Practitioners Sarah Murphy ~ Freshfields Bruckhaus Deringer LLP
Chapter 56: Changes to the Prospectus Regime from 1 July 2012--Key Implications for Debt Capital Markets Practitioners Sarah Murphy ~ Freshfields Bruckhaus Deringer LLP
Chapter 57: Two Recent Cases Test Legality of Consent Payments and Exit Consents Under English Law Daniel Bushner ~ Jones Day
Chapter 58: The U.S. Jobs Act: Implications for Non-US Companies Daniel Bushner ~ Jones Day
Chapter 59: Business Law Today Article on the Jobs Act for Foreigners: Are Foreigners Interested? Daniel Bushner ~ Jones Day
Chapter 60: US Style: Home Country Rules: The Financial Crisis Had Started When the Revamp of Rule 12g3-2(b) Was Finalised. How Has the Market Responded? Daniel Bushner ~ Jones Day
Chapter 61: Debt Repurchases and Amendments: U.S. Securities Law Considerations Cecil D. Quillen III ~ Linklaters LLP
Chapter 62: Pre-IPO Investments: Frequently Asked Questions Cecil D. Quillen III ~ Linklaters LLP
Chapter 63: Leveraged Finance--Market Developments Jane Rogers ~ Ropes & Gray LLP
Nicholas J. Shaw ~ Simpson Thacher & Bartlett LLP
Chapter 64: Martin Marietta Materials, Inc. v. Vulcan Materials Company: Delaware Chancery Court Enjoins Hostile Bid That Used Confidential Information in Breach of Confidentiality Agreements Richard C. Morrissey ~ Sullivan & Cromwell LLP
Chapter 65: In Re Micromet, Inc. Shareholders Litigation: Delaware Chancery Court Reaffirms Revlon Duties Related to Pre-Signing Market Checks and Parameters of Fiduciary Duty of Disclosure Richard C. Morrissey ~ Sullivan & Cromwell LLP
Chapter 66: Bank Mergers & Acquisitions: Federal Reserve Board's Approval of Capital One's Acquisition of ING Direct Discusses Financial Stability Factor Richard C. Morrissey ~ Sullivan & Cromwell LLP
Chapter 67: Bank Mergers & Acquisitions: Federal Reserve Details New Financial Stability Analysis in Approving PNC's Acquisition of RBC Bank (USA) Richard C. Morrissey ~ Sullivan & Cromwell LLP
Chapter 68: The Kay Review of UK Equity Markets and Long Term Decision Making Charles Martin ~ Macfarlanes LLP
Chapter 69: Sponsors Working with the New Takeover Code Rules Charles Martin ~ Macfarlanes LLP
Chapter 70: Overview of EU Short Selling Regulation (Regulation (EU) 236/2012) Charles Martin ~ Macfarlanes LLP
Chapter 71: Hart-Scott-Rodino Antitrust Improvements Act of 1976, As Amended (And Competition Filings in Other Jurisdictions) Summary Outline David A. Katz ~ Wachtell, Lipton, Rosen & Katz
Chapter 72: Takeover and Activist Response Checklist and Dealing with Activist Hedge Funds David A. Katz ~ Wachtell, Lipton, Rosen & Katz
Chapter 73: Takeover Law and Practice David A. Katz ~ Wachtell, Lipton, Rosen & Katz
Chapter 74: Hypotheticals Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 75: Excerpts From Model Rules of Professional Conduct Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 76: Excerpts from Solicitors Regulation Authority Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 77: Excerpts from German Professional Rules Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 78: Supporting Materials for Hypothetical I--Reporting Up Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 79: Supporting Materials for Hypothetical II--Multijurisdictional Conflicts Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 80: Supporting Materials for Hypothetical III--Conflicts Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 81: Supporting Materials for Hypothetical IV--Investigations Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 82: Indices to Institute on Securities Regulation in Europe (Twelfth Annual), Vols. I & II

Course Handbook from the program Institute on Securities Regulation in Europe (Twelfth Annual): Cross-Border Deal-Making in an Uncertain Environment, held January, 2013.

Co-Chair(s)
Nilufer von Bismarck, Slaughter And May
Philip J. Boeckman, Cravath, Swaine & Moore LLP
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