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Institute on Securities Regulation (23rd Annual) - Transcript Series
Chair(s):
Charles M. Nathan, Edward F. Greene, Harvey L. Pitt
Practice Area:
Banking and finance,
Corporate law,
Securities and other financial products
Published:
Oct 1991
i
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ISBN:
0872240487
PLI Item #:
171955
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Table of Contents
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Front Matter
Table of Contents
Chapter 1. The View from Corporation Finance
Chapter 2. The View from Market Regulation
Chapter 3. The View from an Investment Banker
Chapter 4. The View from Investment Management
Chapter 5. A Close Look at Banking Reform
Chapter 6. Financing Healthy Companies
Chapter 7. Restructurings
Chapter 8. Duties of Directors
Chapter 9. Dealing with Debtholders
Chapter 10. Financial Analysts and Disclosure to the Market
Chapter 11. The State of the Commission
Chapter 12. Developments at the Division of Enforcement
Chapter 13. The Decision in United States v. Chestman
Chapter 14. The Sentencing Guidelines
Chapter 15. Representing a Client in the 1990s
Chapter 16. Pending SEC Proxy Rule Changes
Chapter 17. Executive Compensation
Chapter 18. Index Funds
Chapter 19. Plaintiff’s Viewpoint on Liability
Chapter 20. The Professional as Defendant
Chapter 21. Defensive Techniques and Avoiding Problems
Chapter 22. Section 16 Rules
Index
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