Course Handbook   Course Handbook

Understanding the Securities Laws 2012

Publication Date: October 2012 Number of Volumes: 1
ISBN Number: 9781402418761 Page Count: 1080 pages

From:

Download: Table of Contents   Index

Table of Contents
Chapter 1: Chapter 1: Approaching Securities Law, Practising Law Institute, Soderquist on the Securities Laws, 5th Edition Gary M. Brown ~ CMG Life Services Inc.
Chapter 2: Chapter 3: Regulatory Framework of Securities Act Registration, Practising Law Institute, Soderquist on the Securities Laws, 5th Edition Gary M. Brown ~ CMG Life Services Inc.
Chapter 3: Chapter 5: Reach of Securities Act Regulation, Practising Law Institute, Soderquist on the Securities Laws, 5th Edition Gary M. Brown ~ CMG Life Services Inc.
Chapter 4: Effects of the "JOBS" Act Gary M. Brown ~ CMG Life Services Inc.
Chapter 5: Chapter 9: Registration and Periodic Reporting Under the Exchange Act, Practising Law Institute, Soderquist on the Securities Laws, 5th Edition Gary M. Brown ~ CMG Life Services Inc.
Chapter 6: Registering Securities Under the Securities Act of 1933 R. Cabell Morris ~ Winston & Strawn LLP
Chapter 7: Periodic and Other Reporting Obligations Under the Securities Exchange Act of 1934 Richard F. Langan, Jr. ~ Nixon Peabody LLP
Raymond Y. Lin ~ Latham & Watkins LLP
Christopher C. Paci ~ DLA Piper LLP (US)
Chapter 8: Congress Liberalizes Securities Offering Regulation, Sidley Austin LLP Gary D. Gerstman ~ Sidley Austin Brown & Wood LLP
Chapter 9: Disclosure Basics Pamela M Gibson ~ Shearman & Sterling LLP
Robert Evans III ~ Shearman & Sterling LLP
Chapter 10: Is Nothing Private Anymore? James R. Tanenbaum ~ Morrison & Foerster LLP
Anna T. Pinedo ~ Morrison & Foerster LLP
Chapter 11: SEC Adopts New FINRA Rule 5123 on Private Placements Anna T. Pinedo ~ Morrison & Foerster LLP
Chapter 12: Frequently Asked Questions About PIPEs James R. Tanenbaum ~ Morrison & Foerster LLP
Anna T. Pinedo ~ Morrison & Foerster LLP
Chapter 13: "Insiders" and "Affiliates"--Reporting and Resales Francis C. Marinelli ~ Simpson Thacher & Bartlett LLP
Chapter 14: Executive and Director Compensation Disclosure Linda E. Rappaport ~ Shearman & Sterling LLP
Chapter 15: Regulation of Proxy Solicitation David K. Boston ~ Willkie Farr & Gallagher LLP
Chapter 16: Whistleblower Claims Under the Sarbanes-Oxley Act of 2002 Laurence S. Moy ~ Outten & Golden LLP
Chapter 17: Liability for Securities Law Violations Douglas Koff ~ Paul Hastings LLP
Chapter 18: Understanding the Basics of Private Securities Litigation Claims Under Section 11 and 10(B) Tracy A. Nichols ~ Holland & Knight
Chapter 19: Securities Law Aspects of Mergers, Acquisitions and Other Corporate Transactions Dennis J. Block ~ Greenberg Traurig, LLP
Chapter 20: U.S. Securities and Exchange Commission: SEC Enforcement Actions: FCPA Cases N. Adele Hogan ~ Hogan Law Associates PLLC
Chapter 21: SEC Office of Investor Education and Advocacy: Investor Bulletin: The Foreign Corrupt Practices Act--Prohibition of the Payment of Bribes to Foreign Officials N. Adele Hogan ~ Hogan Law Associates PLLC
Chapter 22: SEC's Charges Against Noble Execs--A Noble Pursuit? N. Adele Hogan ~ Hogan Law Associates PLLC
Chapter 23: U.S. Securities and Exchange Commission: Jumpstart Our Business Startups Act Frequently Asked Questions: Confidential Submission Process for Emerging Growth Companies N. Adele Hogan ~ Hogan Law Associates PLLC
Chapter 24: U.S. Securities and Exchange Commission: SEC Enforcement Actions Insider Trading Cases N. Adele Hogan ~ Hogan Law Associates PLLC
Chapter 25: Introduction to Securities Law (PowerPoint) Gary M. Brown ~ CMG Life Services Inc.
Chapter 26: Understanding the Securities Laws (PowerPoint) Gary D. Gerstman ~ Sidley Austin Brown & Wood LLP
Chapter 27: "Plain English" for SEC Reporting (PowerPoint) Irma Villarreal ~ Kraft Foods Inc.
Index

Course Handbook from the program Understanding the Securities Laws 2012, held October, 2012.

Co-Chair(s)
Gary M. Brown, CMG Life Services Inc.
N. Adele Hogan, Hogan Law Associates PLLC
Mark D. Wood, Katten Muchin Rosenman LLP
Speaker(s)
Dennis J. Block, Greenberg Traurig, LLP
David K. Boston, Willkie Farr & Gallagher LLP
Iris Chiu, Morgan Stanley
Robert Evans III, Shearman & Sterling LLP
Kenneth L. Josselyn, Goldman, Sachs & Co.
Douglas Koff, Paul Hastings LLP
Meredith E. Kotler, Cleary Gottlieb Steen & Hamilton LLP
Robert B Lamm, Pfizer Inc.
Richard F. Langan, Jr., Nixon Peabody LLP
Raymond Y. Lin, Latham & Watkins LLP
James Lopez, U.S. Securities and Exchange Commission
Francis C. Marinelli, Simpson Thacher & Bartlett LLP
Laurence S. Moy, Outten & Golden LLP
Trevor S. Norwitz, Wachtell, Lipton, Rosen & Katz
Christopher C. Paci, DLA Piper LLP (US)
Anna T. Pinedo, Morrison & Foerster LLP
Linda E. Rappaport, Shearman & Sterling LLP
Bryan J. Rose, Stroz Friedberg LLC
Andrew Siegel, Perella Weinberg Partners
Ann Beth Stebbins, Skadden, Arps, Slate, Meagher & Flom LLP
Darla C. Stuckey, Society of Corporate Secretaries & Governance Professionals
Rosa A. Testani, Akin Gump Strauss Hauer & Feld LLP
Related Items

Live Seminars  Live Seminars

Understanding the Securities Laws 2014 (New York, NY) Dec. 11 - 12, 2014
Understanding the Securities Laws 2014 (Chicago, IL) Oct. 23 - 24, 2014
Understanding the Securities Laws 2014 (New York, NY) Jul. 24 - 25, 2014
Global Capital Markets & the U.S. Securities Laws 2014: Raising Capital in an Evolving Regulatory Environment (New York, NY) Jun. 4, 2014
Understanding the Securities Laws 2013 (New York, NY) Dec. 12 - 13, 2013
Understanding the Securities Laws 2013 (Chicago, IL) Oct. 24 - 25, 2013

On-Demand  On-Demand Programs

Understanding the Securities Laws 2013 Aug. 9, 2013
Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment Jun. 19, 2013

Handbook  Course Handbook Archive

Understanding the Securities Laws 2014  
Understanding the Securities Laws 2014  
Global Capital Markets & the U.S. Securities Laws 2014: Raising Capital in an Evolving Regulatory Environment  
Understanding the Securities Laws Fall 2013  
Understanding the Securities Laws 2013  
Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment Paul M. Dudek, U.S. Securities and Exchange Commission
David M. Lynn, Morrison & Foerster LLP
 
Understanding the Securities Laws 2012 Gary M. Brown, CMG Life Services Inc.
Mark D. Wood, Katten Muchin Rosenman LLP
N. Adele Hogan, Hogan Law Associates PLLC
Bryan J. Rose, Stroz Friedberg LLC
Linda E. Rappaport, Shearman & Sterling LLP
Richard F. Langan, Jr., Nixon Peabody LLP
Dennis J. Block, Greenberg Traurig, LLP
Kenneth L. Josselyn, Goldman, Sachs & Co.
Raymond Y. Lin, Latham & Watkins LLP
Robert Evans III, Shearman & Sterling LLP
Trevor S. Norwitz, Wachtell, Lipton, Rosen & Katz
David K. Boston, Willkie Farr & Gallagher LLP
Anna T. Pinedo, Morrison & Foerster LLP
Darla C. Stuckey, Society of Corporate Secretaries & Governance Professionals
Iris Chiu, Morgan Stanley
Rosa A. Testani, Akin Gump Strauss Hauer & Feld LLP
Douglas Koff, Paul Hastings LLP
Laurence S. Moy, Outten & Golden LLP
Meredith E. Kotler, Cleary Gottlieb Steen & Hamilton LLP
Christopher C. Paci, DLA Piper LLP (US)
James Lopez, U.S. Securities and Exchange Commission
Ann Beth Stebbins, Skadden, Arps, Slate, Meagher & Flom LLP
Robert B Lamm, Pfizer Inc.
Andrew Siegel, Perella Weinberg Partners
Francis C. Marinelli, Simpson Thacher & Bartlett LLP
 
Print Share Email
News & Expert Analysis

October 2, 2013

CAFC Finds Promise Not to Infringe Insufficient in ANDA Litigation

From: Patent Law Practice Center

On September 26, 2013, the United States Court of ...

September 30, 2013

Forest Labs sues over Generic Version of SAVELLA®

From: Patent Law Practice Center

Forest Laboratories, Inc. (NYSE:FRX) and Forest La...

September 26, 2013

The Tangible, Mechanical Nature of Software

From: Patent Law Practice Center

Recently U.S. Patent No. 8,515,829 (the ’829...