Course Handbook  Course Handbook

Hedge Fund and Private Equity Enforcement & Regulatory Developments 2018

Publication Date: October 2018 Number of Volumes: 1
ISBN Number: 9781402432378 Page Count: 320 pages

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Table of Contents
Chapter 1: 2018 Mid-Year Securities Enforcement Update (July 30, 2018) Barry R. Goldsmith ~ Gibson, Dunn & Crutcher LLP
Chapter 2: Compliance Reminders for Private Fund Advisers—2018 (February 14, 2018) Barry R. Goldsmith ~ Gibson, Dunn & Crutcher LLP
Chapter 3: Supreme Court Rules That SEC ALJs Were Unconstitutionally Appointed Barry R. Goldsmith ~ Gibson, Dunn & Crutcher LLP
Chapter 4: Lucia v. SEC, 585 U.S. ___ (2018)
Chapter 5: Supreme Court Rules on Whistleblower Reporting to SEC Joan E. McKown ~ Jones Day
Chapter 6: The Perils of Well-Intentioned Deception: Insider Trading Case Highlights Challenges Facing Public Companies (July 2018) Joan E. McKown ~ Jones Day
Chapter 7: Materials from Jay M. Lippman Jay M. Lippman ~ Managing Director, Exiger
Chapter 8: Insider Trading: Where Is the Line? Stephen J. Crimmins ~ Murphy & McGonigle
Index

This Course Handbook was compiled for the program, Hedge Fund and Private Equity Enforcement Regulatory Developments 2018.

PLI’s nationally acclaimed course handbooks represent the definitive thinking of the nation’s finest legal minds on timely topics and are considered the standard reference in the field. This course handbook is prepared specifically for the program and stands alone as a permanent reference.

Chairperson(s)
Barry R. Goldsmith, Gibson, Dunn & Crutcher LLP
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