18-Hour Program

See Credit Details Below

Overview

Why You Should Attend

Celebrating its 50th anniversary, our annual Institute on Securities Regulation will bring together the nation’s leading securities and corporate legal experts to deliver practical information, insights and real-word strategies and solutions to the challenges facing you and your clients today.

What You Will Learn

  • The latest developments in the capital markets, from direct listings to shelf takedowns, wall crossings, SPACs and more
  • Financing issues facing late-stage private companies and smaller reporting companies
  • Review of disclosure issues and best practices for public companies
  • SEC rulemaking and interpretive developments
  • Current trends in shareholder activism and engagement
  • Accounting and auditing developments that companies, audit committees and counsel need to know
  • Recent developments in Delaware law
  • What’s trending in M&A, including key cross-border considerations
  • Updates on enforcement from state and federal regulators
  • Practical aspects of defending government enforcement actions
  • Key considerations in bringing, defending and resolving private securities litigation
  • Crisis management and prevention

Special Features

  • All new panel: “All things Crypto: The Evolving Landscape”
  • Learn from practical scenarios and realistic case studies
  • Receive practical take-away points at the conclusion of each panel
  • Network with our faculty and hundreds of your colleagues over lunch and at networking breaks
  • Earn up to two hours of Ethics credit

Who Should Attend

Attorneys and allied professionals who want to expand their knowledge and keep up with all aspects of securities regulation, including senior in-house attorneys, attorneys with expertise in other fields and all attorneys interested in understanding securities laws and the latest best practices.

Credit Details