Narrow Your Results

Display:

Seminars & Webcasts

On-Demand Learning

Publications

Faculty/Authors

News/Blogs

List View Table View

Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment

Seminar  Seminar

Capital markets are adjusting to a wide range of evolving regulatory standards which affect the way in which offerings are conducted around the world. At the same time, issuers around the world are subject to changing accounting and corporate governance standards, while market participants navigate new ground in derivative product regulation. Issuers and market participants also face an increasingly active global enforcement environment targeting ...

Acquiring or Selling the Privately Held Company 2013

Seminar  Seminar

At this perennial favorite, our experienced faculty will walk you through all of the steps associated with acquiring and selling a privately held company, whether it is a large independent corporation, a division or subsidiary of a large public company, or a smaller venture capital-backed or family-owned entrepreneurial enterprise. You will learn about the special issues that apply when a private equity firm is the buyer or owns the target company, ...

Audit Committees and Financial Reporting 2013: Recent Developments and Current Issues

Seminar  Seminar

As we continue to see many new regulations from the SEC, PCAOB and financial institution regulators, we also continue to see numerous challenges emerge for the audit committee. If you are a director or member of an audit committee, or if you advise audit committees, this program will help you understand what is required of the audit committee, and those who advise them, in this rapidly changing environment. You will hear from an expert faculty of ...

Fundamentals of Broker-Dealer Regulation 2013

Seminar  Seminar

Major changes in broker-dealer regulation and the industry have come about as a result of the financial services crisis and the resulting regulatory reform. At the same time, FINRA’s overhaul of its rulebook as part of its Rulebook Consolidation process is almost complete. This program will provide attendees with a solid foundation in the regulatory regime applying to broker-dealers, including what to expect next regarding broker-dealer regulation. ...

Internal Investigations 2013

Seminar  Seminar

Knowing how to conduct effective and efficient internal investigations is key to protecting your clients or company. Companies and their counsel need to be diligent and proactive in identifying risks and remedying potential issues. At this program, panels of experts from the private bar, in-house and the government use a real-world hypothetical fact pattern throughout the day to review the many considerations and issues that can and do arise from ...

M&A Litigation 2013

Seminar  Seminar

What better way to learn about M&A litigation than from the attorneys that litigate the nation’s most important M&A disputes and the judges who preside over them? We have assembled judges from the Delaware Supreme Court and the Court of Chancery - the most experienced and respected courts on M&A matters - and distinguished M&A litigators to give you their perspectives on the best ways to handle corporate M&A disputes. Whether ...

Cybersecurity 2013: Managing the Risk

Seminar  Seminar

Not long ago, “cyber attacks" invoked futuristic battles in a virtual universe. Today, the threats posed by cyber attacks are very real, and are wreaking havoc on companies around the world. No industry sector is immune, and cybercrime targets have broadened significantly. Media reports of the staggering number of increasingly sophisticated cyber attacks attest to this trend, with organizations such as The New York Times, The Washington Post, Twitter, ...

Private Equity Forum (Fourteenth Annual)

Seminar  Seminar

Since the financial crisis a few years ago, private equity firms have been dealing with its aftermath, including increased regulatory and legislative scrutiny of their activities and the activities of their funds as well as difficult environments in which to raise new funds and to get deals done. Many firms were required to register as investment advisers with the SEC and a number of newly registered firms are now undergoing their first SEC audits. ...

Doing Deals in and with Emerging Markets: BRICs and Beyond 2013

Seminar  Seminar

With emerging markets players, like those of the BRIC (Brazil, Russia, India and China) countries, playing an ever greater role in the global economy, attorneys and other professionals facilitating cross-border transactions need to familiarize themselves with their perspective on inbound and outbound investments. According to a recent Office for Economic Co-operation and Development study, emerging markets will account for over 60% of global economic ...

Fundamentals of Investment Adviser Regulation 2013

Seminar  Seminar

In the aftermath of the financial crisis and the resulting regulatory reform, the SEC has advanced significant rulemaking to impose a greater degree of controls on investment advisers’ operations. In fact, the SEC has put the regulation of investment advisers under the microscope, establishing new rules related to adviser custody, political contributions and adviser disclosure and has retooled its adviser exam program.At this program, attendees will ...

Understanding the Securities Laws 2013

Seminar  Seminar

Whether you are new to the field or seeking a quick refresher or an update, this is a securities law primer that you won’t want to miss. This program will provide an overview and discussion of the basic aspects of the U.S. federal securities laws by leading in-house and law firm practitioners and key SEC representatives. Emphasis will be placed on the interplay among the Securities Act of 1933, the Securities Exchange Act of 1934, the Sarbanes-Oxley ...

Securities Arbitration 2013

Seminar  Seminar

The continuing national discussion regarding the fairness of arbitration has influenced the forums management of the process. FINRA has focused not only on the compositions of arbitration panels but the definition of who is a “customer” and what is “suitable” in securities cases. In 2013 FINRA will continue its focus on employment disputes and expungement applications. This year’s Securities Arbitration program will ...

Bridge-the-Gap I: Ethics and Skills for Newly Admitted New York Attorneys

Seminar  Seminar

New York State MCLE Rules Attorneys admitted to the New York State Bar after October 1997 are required to complete 16 hours of approved continuing legal education per year during the first two years of admission, including three credit hours in ethics/professionalism, six credit hours in skills, and seven credit hours in professional practice and/or law practice management. By attending PLI’s one-day Bridge-the-Gap I: Ethics and Skills ...

Ethics in Banking and Financial Services 2013

Seminar  Seminar

The intersection of banking and brokerage regulation: What are the ethical and practical issues for lawyers in an era of overlapping regulatory jurisdictions?  The dangers and pitfalls of broker-dealer enforcement: What are the ethical and practical issues for lawyers in handling enforcement matters? The ethical responsibilities of legal and compliance professionals in regulated companies: What are the duties and potential liabilities ...

Writing for Transactional Lawyers 2013

Seminar  Seminar

What’s wrong with using words like “herein” and “provided that”? What are the elements of a well-drafted contract? By attending this program, you will learn principles of effective writing and drafting that will enhance your transactional practice.

Defending Immigration Removal Proceedings 2013

Seminar  Seminar

With more than 300,000 deportation and removal cases initiated by U.S. immigration authorities each year, immigrants in the United States need competent and knowledgeable representation in this important area of law. Over half of those facing removal proceedings are unrepresented, and studies have shown that those without legal representation face a significantly higher risk of removal, regardless of eligibility for relief. In response to the acute ...

Ethics and Technology: New Challenges for the 21st Century Practitioner

Seminar  Seminar

Using the latest technology to communicate with clients, the court, and the public is often a necessary part of a lawyer’s job. Using these tools properly is critical particularly when it involves the risk of an inadvertent disclosure of client confidential information. The stakes are raised even higher when relying on an Internet that does not fit within our traditional notions of jurisdictional limitations. The next generation of Internet ...

Bridge-the-Gap II for Newly Admitted New York Transactional Attorneys 2013

Seminar  Seminar

Attorneys admitted to the New York State Bar are required to complete 16 hours of approved continuing legal education courses per year during the first two years of admission, including three credit hours of approved continuing legal education in ethics/professionalism, six credit hours in skills, and seven credit hours in professional practice and/or law practice management.PLI’s Bridge-the-Gap I and II programs contain separate course offerings ...

Featured Faculty/Authors
Lisa J. Sotto

Lisa J. Sotto ~ Hunton & Williams LLP

David W. Pollak

David W. Pollak ~ Morgan, Lewis & Bockius LLP

Katie M. Lachter

Katie M. Lachter ~ Hinshaw & Culbertson LLP