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Preparation of Annual Disclosure Documents 2002
Chair(s):
Klaus Eppler, D. Craig Nordlund
Practice Area:
Corporate law,
Securities and other financial products
Published:
Jan 2002
i
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ISBN:
1402400861
PLI Item #:
273
CHB Spine #:
B1285, B1286
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Table of Contents
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Front Matter
Table of Contents
Chapter 1. Overview of SEC and Other Developments Affecting the Preparation of Annual Disclosure Documents; Bases for the Public Company's Year-End Disclosure Obligations
Chapter 2. Current Issues Concerning Stock Options
Chapter 3. Disclosures Regarding Executive Officer and Director Compensation and Shareholder Approval of Compensation Plans
Chapter 4. Disclosure Regarding Audit Committees
Chapter 5. Auditor Communications with and Obligations to Audit Committees
Chapter 6. Understanding the SEC's New Independence and Proxy Disclosure Rule
Chapter 7. The Proxy Solicitation Process: Developments in Shareholder Communication
Chapter 8. Corporate Web Sites
Chapter 9. Developments in Securities Law Disclosure
Chapter 10. Regulation FD
Chapter 11. Shareholder Proposals
Chapter 12. Corporate Governance
Chapter 13. MD&A: An Overview
Chapter 14. Protecting Forward-Looking Statements: The Private Securities Litigation Reform Act of 1995 and Other Safeguards
Chapter 15. Drafting the Form 10-K
Chapter 16. Financial Statement Requirements in Annual Disclosure Documents
Chapter 17. The Death of Pooling of Interest: FAS 141 & 142 & Related Developments
Chapter 18. Planning and Conducting the Annual Shareholders' Meeting
Chapter 19. SEC Sanctions of Securities Counsel
Chapter 20. Drafting the Proxy Statement
Chapter 21. The Annual Report to Shareholders
Chapter 22. Solving the Underwater Stock Option Challenge - The New Rubik's Cube
Chapter 23. Earnings Management
Chapter 24. Release 33-8040 (December 12, 2001) "Action: Cautionary Advice Regarding Disclosure About Critical Accounting Policies"
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