Skip to main content
Create Account
Training Center
Contact Us
Questions? Comments?
Contact us.
Email:
PLUS@pli.edu
Phone:
877.900.5291
PLI.edu
SIGN IN
Search
Browse
All Content
Books
- Answer Books
- Course Handbooks
- Journals
- Insights
- Treatises
Forms & Checklists
Transcripts
My Bookshelf
My History
< Back To Results
1 in 1 results
Previous Result
Next Result
Institute on Securities Regulation (32nd Annual)
Chair(s):
Linda C. Quinn, John W. White, Stephen J. Schulte
Practice Area:
Banking and finance,
Corporate law,
Securities and other financial products
Published:
Nov 2000
i
Other versions can be found in the
Related Items
tab.
ISBN:
0872248631
PLI Item #:
147406
CHB Spine #:
B1212, B1213
This version is not current.
Click here for the most recent version.
Search
Email
Print
Add To Bookshelf
Permalink
Table of Contents
Related Items
Select All
Front Matter
Table of Contents to Vol. 1
Table of Contents to Vol. 2
Chapter 1. Learning to Live with Regulation FD Shearman & Sterling Client Publication
Chapter 2. Publicity Considerations for Corporate Issuers: Getting the Message across under the New Fair Disclosure Regime
Chapter 3. Disclosure Policies and Procedures under Regulation FD: Cravath, Swaine & Moore Memorandum
Chapter 4. Current Issues in Private Placements: The Metaphysics of Integration of Private and Public Offerings
Chapter 5. Later Stage Venture Capital Financings: Issues Posed by Financings Preceding, Concurrent with or Following Abandoned Initial Public Offerings
Chapter 6. Memorandum of Terms for Private Placement of Series_Preferred Stock
Chapter 7. Cautionary Tales: Timing Considerations and Other Concerns in Financings Leading up to Initial Public Offerings
Chapter 8. Application of the Hart-Scott-Rodino Act to Venture Fund Transactions
Chapter 9. Examples of the Application of the HSR Act to Venture Capital Investors
Chapter 10. Selected Initial Public Offering Topics
Chapter 11. Section 5 Issues Relating to IPO Participation Rights
Chapter 12. Latest Trends with Lockups and Other Underwriting Arrangements
Chapter 13. Structuring and Executing a Successful Acquisition Program
Chapter 14. Technology and Emerging Growth Acquisitions: The Private Perspective
Chapter 15. Registered Online Debt Offerings:1933 and 1934 Act Issues
Chapter 16. Completing Your Offering on a Timely Basis
Chapter 17. Formal Opinion 2000-3—The Acceptance of Securities in a Client Company in Exchange for Legal Services to Be Performed
Chapter 18. Practical Ethics Issues for Securities Lawyers: Investing in Clients
Chapter 19. Checklist for Investing in Clients
Chapter 20. Malpractice Issues for Business Attorneys—Minimize Your Risks of Being Sued
Chapter 21. Current Accounting and Disclosure Issues in the Division of Corporation Finance
Chapter 22. Deputizing Directors: Changing Roles and Duties under the SEC’s New Audit Committee Disclosure Regime
Chapter 23. Board Oversight of SEC Investigations
Chapter 24. SEC Enforcement Proceedings: Strategic Considerations for When the Agency Comes Calling
Chapter 25. Takeover Law and Practice 2000
Chapter 26. The SEC’s New M&A Rules: Cleary, Gottlieb, Steen & Hamilton
Chapter 27. The Four Ring Circus—Round Four; A Further Update View of the Mating Dance among Announced Merger Partners and an Unsolicited Second or Third Bidder
Chapter 28. Tracking Stock Terms, Methods of Issuance, Advantages and Disadvantages
Chapter 29. Equity Participation by Executives in Main Street/Dot Com Ventures
Chapter 30. Structuring .Com Spin-Offs, Equity Carve-Outs and Joint Ventures
Chapter 31. What Transactional Lawyers Should Know about the Investment Company Act
Chapter 32. What Transactional Lawyers Should Know about the Investment Company Act
Chapter 33. Internet Holding Companies
Chapter 34. SEC Adopts New Disclosure Requirements for Non-U.S. Issuers?Cleary, Gottlieb, Steen & Hamilton
Chapter 35. SEC Adopts Rules to Facilitate Cross-Border Tender Offers, Business Combinations and Rights Offerings?Cleary, Gottlieb, Steen & Hamilton
Chapter 36. Recent SEC Enforcement Cases
Chapter 37. The SEC’s Focus on Financial Reporting and Accounting Issues
Chapter 38. Recent SEC Initiatives on Accounting and Financial Reporting
Chapter 39. A Second Opportunity to Set the Appropriate Discretionary Standard in Cease-and-Desist Proceedings
Chapter 40. The Battle over Auditor Independence and the SEC’s Recent Rule Proposal
Chapter 41. Proposed Rule: Revision of the Commission’s Auditor Independence Requirements, 17 CFR Parts 210 and 240
Chapter 42. Analysis of Decisions Relating to Disputed Lead Plaintiff Appointments Under the PSLRA
Chapter 43. Pleading Requirements for Scienter under the Private Securities Litigation Reform Act of 1995
Chapter 44. The Statutory Safe Harbor for Forward-Looking Statements in the Courts: A Year 2000 Scorecard
Chapter 45. Securities Class Actions Since the 1995 Reform Act: A Plaintiff’s Perspective
About Us