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Nuts & Bolts of Financial Products 2000: Understanding the Evolving World of Capital Market & Investment Management Products
Chair(s):
Clifford E. Kirsch, Robert S. Risoleo
Practice Area:
Banking and finance,
Corporate law,
Securities and other financial products
Published:
Feb 2000
i
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ISBN:
N/A
PLI Item #:
179467
CHB Spine #:
B1164
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Table of Contents
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Front Matter
Table of Contents
Chapter 1. THE MONEY MANAGEMENT INDUSTRY
Chapter 2. COMPLETING YOUR OFFERING ON A TIMELY BASIS
Chapter 3. AN OVERVIEW OF CERTAIN PROVISIONS OF THE U.S. SECURITIES LAW GOVERNING CAPITAL FORMATION
Chapter 4. SELECTED ISDA DOCUMENTS
Chapter 5. BANKRUPTCY AND INSOLVENCY PROVISIONS RELATING TO SWAPS
Chapter 6. MEMORANDUM REPORT BY THE PRESIDENT'S WORKING GROUP ON FINANCIAL MARKETS ON OVER THE COUNTER DERIVATIVES MARKETS AND THE COMMODITY EXCHANGE ACT
Chapter 7. DUE DILIGENCE FOR ASSET-BACKED SECURITIES
Chapter 8. OUTLINE OF LEGAL ISSUES FOR INSURERS AND REINSURERS CONSIDERING SECURITIZATION OF INSURANCE RISK
Chapter 9. THE REGULATION OF MUTUAL FUNDS
Chapter 10. AN INTRODUCTION TO MUTUAL FUNDS
Chapter 11. THE REGULATION OF CLOSED-END INVESTMENT COMPANIES
Chapter 12. THE NUTS AND BOLTS OF UNIT INVESTMENT TRUSTS (OR WHY A UIT IS NOT A MUTUAL FUND)
Chapter 13. SECURITIES REGULATION OF DOMESTIC HEDGE FUNDS
Chapter 14. CREATING, MANAGING AND DISTRIBUTING OFFSHORE INVESTMENT PRODUCTS: A LEGAL PERSPECTIVE
Chapter 15. MEMORANDUM: SEC ADOPTS ALTERNATIVE EXCHANGE ACT REGISTRATION REGIME FOR OTC DERIVATIVES DEALERS
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