| 2011 Practice Highlights: A. Purchase Money Security Interest (PMSI) and Consignment Transactions; B. Default and Enforcement; C. Bankruptcy |
Jan. 20, 2011 |
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| Accounting |
Feb. 28, 2013 |
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| Accounting |
Feb. 28, 2013 |
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| Advanced Swaps & Other Derivatives 2012 -- Clearing and Trading; Grandfathering; End-Users; Marin Posting for Cleared and Uncleared Transactions; Client Money Segregation; Loss Mutualization |
Oct. 19, 2012 |
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| Advanced Swaps & Other Derivatives 2012 -- Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 1 |
Oct. 22, 2012 |
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| Advanced Swaps & Other Derivatives 2012 -- Enforcement, Litigation & Insolvency and Resolution Authority: Netting Opinions; Safe Harbors; Orderly Liquidation Part 2 |
Oct. 22, 2012 |
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| Advanced Swaps & Other Derivatives 2012 -- Principal Issues for Consideration and Negotiation in Derivatives Documentation - Implications of the New Regime; SCM v FCM Model; Optimizing Portfolio Management Across Products |
Oct. 19, 2012 |
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| Advanced Swaps & Other Derivatives 2012 -- Regulation of Other Swap Market Participants under the CEA and Securities Exchange Act of 1934: Clearing Members, Clearing Houses, and the Swap Activities of Banks, Part 1 |
Oct. 19, 2012 |
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| Advanced Swaps & Other Derivatives 2012 -- Regulation of Other Swap Market Participants under the CEA and Securities Exchange Act of 1934: Clearing Members, Clearing Houses, and the Swap Activities of Banks, Part 2 |
Oct. 19, 2012 |
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| Advanced Swaps & Other Derivatives 2012 -- Swap Dealers and Major Swap Participants: Who are They and How will They be Regulated? Reporting, Position Limits, Business Conduct Rules, Capital |
Oct. 19, 2012 |
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| Advanced Swaps & Other Derivatives 2012 -- Swap Execution and Reporting; Giveup and Backloading Arrangements |
Oct. 19, 2012 |
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| Advanced Swaps & Other Derivatives 2012 -- Swaps, Security-Based Swaps and Mixed Swaps: What's Covered and What isn't Covered by Dodd-Frank? Who Are the Regulators? What is the Extraterritorial Reach of Dodd-Frank? |
Oct. 19, 2012 |
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| Antitrust Enforcement in the Health Care Industry: Current FTC and DOJ Activities |
Jun. 13, 2012 |
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| Antitrust Enforcement in the Health Care Industry: Current FTC and DOJ Activities (Audio-only) |
Jun. 27, 2012 |
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| Asset Based Financing Strategies 2013 -- Priority and Enforcement Issues |
Mar. 18, 2013 |
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| Background: Mutual Funds and Exchange - Traded Funds |
Jun. 9, 2011 |
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| Basics of Mutual Funds and Other Registered Investment Companies 2013 -- Current Trends and Developments |
Apr. 30, 2013 |
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| Basics of Mutual Funds and Other Registered Investment Companies 2013 -- Fund Anatomy |
Apr. 30, 2013 |
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| Basics of Mutual Funds and Other Registered Investment Companies 2013 -- Fund Litigation |
Apr. 30, 2013 |
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| Basics of Mutual Funds and Other Registered Investment Companies 2013 -- Fund Marketing and Sale of Fund Shares |
Apr. 30, 2013 |
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| Basics of Mutual Funds and Other Registered Investment Companies 2013 -- Fund Regulation |
Apr. 30, 2013 |
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| Basics of Mutual Funds and Other Registered Investment Companies 2013 -- The Evolution of an Industry: Approaching 75 Years of Retail Fund Regulation |
Apr. 30, 2013 |
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| Broker-dealer and Adviser Advertising Developments |
Feb. 22, 2013 |
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| Broker-dealer and Adviser Advertising Developments |
Feb. 25, 2013 |
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| Broker-dealer and Adviser Advertising Developments |
Feb. 25, 2013 |
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