Course Handbook   Course Handbook

Institute on Securities Regulation in Europe (Eleventh Annual): Cross-Border Deal-Making in an Uncertain Environment

Publication Date: March 2012 Number of Volumes: 1
ISBN Number: 9781402417450 Page Count: 1200 pages

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Download: Table of Contents   Index

Eleventh Annual Institute on Securities Regulation in Europe TOC
Chapter 1: What's Over the Horizon for OTC Derivatives? Chris Bates ~ Clifford Chance LLP
Chapter 2: European Regulatory Reform Progress Report--Update Chris Bates ~ Clifford Chance LLP
Chapter 3: OTC Derivatives Reforms Impact on Cross-Border Business Chris Bates ~ Clifford Chance LLP
Chapter 4: New EU Decision-Making Landscape: Delegated Acts & Implementing Acts Chris Bates ~ Clifford Chance LLP
Chapter 5: Green Paper on the EU Corporate Governance Framework: New Action Plan for Corporate Governance Chris Bates ~ Clifford Chance LLP
Chapter 6: The Impact of the UK Independent Commission on Banking Michael Shaw ~ Deputy Group General Counsel, Barclays PLC
Chapter 7: Sullivan & Cromwell LLP: European Commission Proposes Disclosure Requirements for Payments to Governments for the Development of Natural Resources: Summary Side-by-Side Comparison of European Union and United States Proposals David B. Rockwell ~ Sullivan & Cromwell LLP
Chapter 8: Sullivan & Cromwell LLP: Prospectus Directive Amendments and ESMA Technical Advice David B. Rockwell ~ Sullivan & Cromwell LLP
Chapter 9: Directives: Directive 2010/73/EU of the European Parliament and of the Council of 24 November 2010 Amending Directives 2003/71/EC on the Prospectus to Be Published When Securities Are Offered to the Public or Admitted to Trading and 2004/109/EC . . . David B. Rockwell ~ Sullivan & Cromwell LLP
Chapter 10: European Securities and Markets Authority Final Report: ESMA's Technical Advice on Possible Delegated Acts Concerning the Prospectus Directive as Amended by the Directive 2010/73/EU David B. Rockwell ~ Sullivan & Cromwell LLP
Chapter 11: Sullivan & Cromwell LLP: Transparency Directive Amendments--Overview of the Proposed Draft Amendments to the Transparency Directive ("TD") David B. Rockwell ~ Sullivan & Cromwell LLP
Chapter 12: Europa Press Releases Rapid: Proposal for Directive on Transparency Requirements for Listed Companies and Proposals on Country by Country Reporting--Frequently Asked Questions David B. Rockwell ~ Sullivan & Cromwell LLP
Chapter 13: European Commission: Proposal for a Directive of the European Parliament and of the Council Amending Directive 2004/109/EC on the Harmonisation of Transparency Requirements in Relation to Information About Issuers Whose Securities Are Admitted to . . . David B. Rockwell ~ Sullivan & Cromwell LLP
Chapter 14: New York Law Journal--Corporate Governance: Say on Pay 2011: Proxy Advisors on Course for Hegemony James D Barrall ~ Latham & Watkins LLP
Charles M. Nathan ~ Latham & Watkins LLP
Chapter 15: Corporate Governance Commentary: Proxy Access and Advance Notice Bylaws in the Wake of Invalidation of the SEC's Proxy Access Rule: An Approach to Private Ordering Charles M. Nathan ~ Latham & Watkins LLP
Chapter 16: Corporate Governance Commentary: Future of Institutional Share Voting Revisited: A Fourth Paradigm Charles M. Nathan ~ Latham & Watkins LLP
Chapter 17: Corporate Governance Commentary: A 12-Step Program to Truly Good Corporate Governance Charles M. Nathan ~ Latham & Watkins LLP
Chapter 18: Guide to Trends in Corporate Governance in Europe Nilufer von Bismarck ~ Slaughter And May
Chapter 19: Corporate Governance--Practitioner Update: FRC Publishes Stewardship Code Nilufer von Bismarck ~ Slaughter And May
Chapter 20: Corporate Governance Practitioner Update: FRC Publishes Updated UK Corporate Governance Code Nilufer von Bismarck ~ Slaughter And May
Chapter 21: The FSA's Proposals on Reforming Corporate Governance: New Elite or Endangered Species? Nilufer von Bismarck ~ Slaughter And May
Chapter 22: Euro Area Macro Watch: Ratings & Rating the EU Summit Sajid F. Hussein ~ General Counsel, EMEA, Bank of America Merrill Lynch
Chapter 23: Basel Committee on Banking Supervision: Consultative Document--Capitalisation of Bank Exposures to Central Counterparties Sajid F. Hussein ~ General Counsel, EMEA, Bank of America Merrill Lynch
Chapter 24: Technical Committee of the International Organization of Securities Commissions: Principles for the Regulation and Supervision of Commodity Derivatives Markets Final Report Sajid F. Hussein ~ General Counsel, EMEA, Bank of America Merrill Lynch
Chapter 25: Financial Services Authority: Final Notice to HSBC Bank PLC (HSBC) Sajid F. Hussein ~ General Counsel, EMEA, Bank of America Merrill Lynch
Chapter 26: Financial Services Authority: Final Notice to Credit Suisse (UK) Limited (Credit Suisse UK) Sajid F. Hussein ~ General Counsel, EMEA, Bank of America Merrill Lynch
Chapter 27: Financial Services Authority: Final Notice to Willis Limited Sajid F. Hussein ~ General Counsel, EMEA, Bank of America Merrill Lynch
Chapter 28: Financial Services Authority: Final Notice to Bank of Scotland PLC Sajid F. Hussein ~ General Counsel, EMEA, Bank of America Merrill Lynch
Chapter 29: Current Enforcement Topics: Insider Trading and Whistleblowers Linda Chatman Thomsen ~ Davis Polk & Wardwell LLP
John W. Banes ~ Davis Polk & Wardwell LLP
Chapter 30: Euro-Area Member States Seek to Impose New Collective Action Clauses for Sovereign Bond Issues Sarah Murphy ~ Freshfields Bruckhaus Deringer LLP
Chapter 31: Accounting Comfort on Standard Share Listings in London Sarah Murphy ~ Freshfields Bruckhaus Deringer LLP
Chapter 32: Premium Listings, Standard Listings and GDRs--Summary Sarah Murphy ~ Freshfields Bruckhaus Deringer LLP
Chapter 33: Requirements for an Offering and Listing in the U.K., U.S. or Hong Kong James Scoville ~ Debevoise & Plimpton LLP
Chapter 34: Early Stage Investor Meetings: Non-Deal Roadshows and Pilot Fishing Cecil D. Quillen III ~ Linklaters LLP
Chapter 35: Guidelines for Undocumented Block Trades with US Investors Cecil D. Quillen III ~ Linklaters LLP
Chapter 36: Repurchases of High Yield Debt Securities: Frequently Asked Questions Mark S. Bergman ~ Paul, Weiss, Rifkind, Wharton & Garrison LLP
Chapter 37: Listing Options in the Global Capital Markets Mark S. Bergman ~ Paul, Weiss, Rifkind, Wharton & Garrison LLP
Chapter 38: Leveraged Finance--Market Developments Nicholas J. Shaw ~ Simpson Thacher & Bartlett LLP
Alyssa Caples ~ Cravath Swaine & Moore LLP
Chapter 39: Regulation of Takeovers in the UK Charles Martin ~ Macfarlanes LLP
Chapter 40: In Re Southern Peru Copper Corporation Shareholder Derivative Litigation: Del. Chancery Court Finds Acquisition by Southern Peru Copper of a Subsidiary Owned by Its Controlling Shareholder Didn't Satisfy Entire Fairness and Awards $1.26 Billion in Damages Richard C. Morrissey ~ Sullivan & Cromwell LLP
Chapter 41: UK Takeover Panel "Toughens up" UK Takeover Regime: The UK Panel on Takeovers and Mergers Has Announced New Rules to "Toughen up" the UK Takeover Regime Following Criticism in the Wake of the Takeover of Cadbury PLC by Kraft Foods Inc. Richard C. Morrissey ~ Sullivan & Cromwell LLP
Chapter 42: Delaware Court Refuses to Enjoin Closing of Dollar Thrifty Merger: Court of Chancery Finds That a Well-Informed and Properly Motivated Board May Enter Into a Binding Merger Agreement Without Conducting a Pre-Signing Market Check Richard C. Morrissey ~ Sullivan & Cromwell LLP
Chapter 43: Hypotheticals (I, II, III, IV) Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 44: Excerpts from the ABA Model Rules of Professional Conduct Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 45: Excerpts from Solicitors Regulation Authority Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 46: Memos from ABA Commission on Ethics 20/20 Materials Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 47: Supporting Materials for Hypothetical I--Secondments Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 48: Supporting Materials for Hypothetical II--Private Communications Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 49: Supporting Materials for Hypothetical III--Conflicts Robert H. Mundheim ~ Shearman & Sterling LLP
Chapter 51: Index to Eleventh Annual Institute on Securities Regulation in Europe

Course Handbook from the program Institute on Securities Regulation in Europe (Eleventh Annual): Cross-Border Deal-Making in an Uncertain Environment, held March, 2012.

Co-Chair(s)
Philip J. Boeckman, Cravath, Swaine & Moore LLP
Jane Brown, Linklaters LLP
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