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Advanced Securities Law Workshop 1993
Chair(s):
Hon. Harvey L. Pitt
Practice Area:
Corporate law,
Securities and other financial products
Published:
Aug 1993
i
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ISBN:
N/A
PLI Item #:
203535
CHB Spine #:
B822
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Front Matter
Table of Contents
Chapter 1. LIBERATING CORPORATE PROFESSIONAL ADVISORS FROM THE TAINT OF RICO LIABILITY
Chapter 2. PROXY REFORM AND THE BRAVE NEW WORLD OF INVESTOR RELATIONS: TEN RULES OF THUMB FOR THE 1990'S
Chapter 3. "POSSESSION" MAY BE MORE THAN NINE-TENTHS OF THE LAW OF INSIDER TRADING: THE IMPACT OF THE TEICHER OPINION
Chapter 4. EXPANDING PARAMETERS OF INSIDER TRADING LIABILITY
Chapter 5. A CORPORATE GOVERNANCE AUDIT: TOPICS IN THE CONTEMPORARY CORPORATE GOVERNANCE DEBATE AND THE ROLE OF BOARD COMMITTEES
Chapter 6. THE CHANGING ROLE OF THE SECURITIES LAWYER
Chapter 7. THE REGULATION OF THE REGISTRATION AND DISTRIBUTION PROCESS UNDER THE SECURITIES ACT OF 1933
Chapter 8. A CONSTRUCTIVE APPRAISAL OF THE SEC'S ENFORCEMENT PROGRAM
Chapter 9. MINIMIZING SHAREHOLDER LITIGATION WITH PREVENTIVE DISCLOSURES: A CHECKLIST
Chapter 10. CORPORATE DISCLOSURE AFTER CATERPILLAR
Chapter 11. ENFORCEMENT/JUDICIAL UPDATE
Chapter 12. CURRENT ISSUES AND RULEMAKING PROJECTS, DIVISION OF CORPORATION FINANCE
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