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Directors' Institute on Corporate Governance (Fourteenth Annual)
Chair(s):
Keir D. Gumbs, Mark J. Gentile, Jeffrey D. Karpf
Practice Area:
Board of directors,
Corporate governance,
Corporate law,
Regulation and compliance (Corporate law)
Published:
Dec 2016
i
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ISBN:
9781402427909
PLI Item #:
150004
CHB Spine #:
B2284
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Table of Contents
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Front Matter
Faculty Bios
Table of Contents
Chapter 1. Selected Issues for Boards of Directors in 2016 (January 26, 2016)
Chapter 2. Memorandum Concerning the Legal Implications of Being a Publicly Held Company (September 2016)
Chapter 3. DOJ Launches Foreign Corrupt Practices Act Pilot Program (April 15, 2016)
Chapter 4. Proxy Access—What You Need to Know (August 23, 2016) (PowerPoint slides)
Chapter 5. Proxy Access: The SEC Re-enters the Arena (February 25, 2016)
Chapter 6. Agencies Re-propose Incentive-Based Compensation Rules for Financial Institutions (April 27, 2016)
Chapter 7. Boards, shareholders, and executive pay (July 2016)
Chapter 8. Delaware Court of Chancery Offers Practical Lessons for Compensation Committees (March 9, 2016)
Chapter 9. 2016 Executive Compensation Trends and Best Practices (PowerPoint slides)
Chapter 10. A Primer on Shareholder Activism (PowerPoint slides)
Chapter 11. Any Agreements with Employees Might Implicate Whistleblower Rules (September 30, 2016)
Chapter 12. A New Chapter for Non-GAAP Financial Measures
Chapter 13. On the 2016 Audit Committee Agenda
Chapter 14. Audit Committee Guide
Chapter 15. Eighteen Safeguards to an Audit Committee’s Investigation of Financial Reporting (October 2015)
Chapter 16. Recent Developments in Delaware Corporate Law
Chapter 17. Related Party Transactions—Lessons from the El Paso MLP Decision (May 8, 2015)
Chapter 18. Cyberthreat Spawns New Era of Public-Private Collaboration (February 20, 2015)
Chapter 19. Cybersecurity Partnerships: A New Era of Public-Private Collaboration (October 2014)
Chapter 20. After the Breach: Cybersecurity Liability Risk
Chapter 21. From the War Room to the Board Room? Effectively Managing Cyber Risk without Joining the Front Lines (June 2015)
Chapter 22. One More Reason for Companies to Report Data Breaches (May 26, 2015)
Chapter 23. Palkon v. Holmes, No. 2:14-CV-01234 (SRC) (D.N.J. 2014)
Chapter 24. Best Practices for Victim Response and Reporting of Cyber Incidents (April 2015)
Chapter 25. Cybersecurity Risk Management: Key Issues Facing Boards, Management and In-House Counsel (PowerPoint slides)
Index
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