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Institute on Securities Regulation in Europe (Fourteenth Annual): Practical Implications of U.S. Law on EU Practice
Chair(s):
Bradley J. Gans, Philip J. Boeckman, Nilufer von Bismarck
Practice Area:
Corporate law,
Securities and other financial products
Published:
Jan 2015
i
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ISBN:
9781402423697
PLI Item #:
58806
CHB Spine #:
B2147, B2148
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Table of Contents
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Front Matter
Faculty Bios
Table of Contents to Vol. 1
Table of Contents to Vol. 2
Chapter 1. New U.S. Rulemaking and Impact on Foreign Private Issuers
Chapter 2. Davis Polk Memo, Private Offering Reform: Analysis and Implications, July 29, 2013
Chapter 3. Davis Polk Memo, a Review of the First Wave of Conflict Mineral Filings, July 30, 2014
Chapter 4. SEC Speech, Disclosure Effectiveness: Remarks before the American Bar Association Business Law Section Spring Meeting, Keith F. Higgins, Director, Division of Corporation Finance, April 11, 2014
Chapter 5. SEC Speech, Shaping Company Disclosure: Remarks before the George A. Leet Business Law Conference, Keith F. Higgins, Director, Division of Corporation Finance, Oct. 3, 2014
Chapter 6. Statement of Michael R. Young, Willkie Farr & Gallagher LLP, Public Meeting on the Auditor’s Reporting Model of the Public Company Accounting Oversight Board, April 3, 2014
Chapter 7. Committee on Financial Reporting, New York City Bar, Letter to Phoebe W. Brown, Office of the Secretary, Public Company Accounting Oversight Board, from Michael R. Young, Willkie Farr & Gallagher LLP, December 9, 2013
Chapter 8. Committee on Financial Reporting, New York City Bar, Letter to Keith F. Higgins, Director, Division of Corporation Finance, from Michael R. Young, Willkie Farr & Gallagher LLP, September 3, 2014
Chapter 9. Committee on Financial Reporting, New York City Bar, Letter to Claudia Crowley Re: New York Stock Exchange Listed Company Rules from Michael R. Young, Willkie Farr & Gallagher LLP, March 5, 2013
Chapter 10. Freshfields Bruckhaus Deringer LLP Client Briefing, Disclosure of non-financial information, 8 October 2014
Chapter 11. Freshfields Bruckhaus Deringer LLP Client Briefing, Update to the Listing Rules, 22 May 2014
Chapter 12. Linklaters LLP, SEC Proposes Recordkeeping and Reporting Requirements for Security-Based Swap Dealers, Major Security-Based Swap Participants and Broker-Dealers as well as an Addition to the Proposed Capital Rules for Certain Security-Based Swap Dealers, April 29, 2014
Chapter 13. Linklaters LLP, CFTC Staff Extends Until December 31, 2014 Existing No-Action Relief for Non-U.S. Swap Dealers from Certain Transaction-Level Requirements, June 6, 2014
Chapter 14. Linklaters LLP, Sanctions Overview, November 2014
Chapter 15. Linklaters LLP, US Law Briefing. US Sanctions—Overview and Ukraine
Chapter 16. Social Media and Shareholder Communications
Chapter 17. Selected Final Notices, Financial Conduct Authority
Chapter 18. Panel Materials—Accounting and Auditing: A Must for Lawyers in 2015
Chapter 19. Outline of Selected SEC Enforcement Actions, July 2014
Chapter 20. Fait v. Regions Financial Corp., 655 F.3d 105 (2nd Cir. Aug. 23, 2011)
Chapter 21. Indiana State District Council of Laborers and HOD Carriers Pension and Welfare Fund v. Omnicare, Inc., 719 F.3d 498 (6th Cir. July 23, 2013)
Chapter 22. Securities Defense Bar Has High Hopes Riding On Omnicare, by Brian Mahoney, Law360, March 3, 2014
Chapter 23. Halliburton Co. v. Erica P. John Fund, Inc., No. 13-317 (S.C. Jan. 6, 2014), Brief for Vivendi S.A. as Amicus Curiae in Support of Petitioners
Chapter 24. After the Financial Crisis: Revisiting Audit Committee Independence, Reprinted from Risk & Compliance Magazine, Jan–Mar 2015 Issue
Chapter 25. Risk Management Oversight: A Debate Continues and Audit Committees Get Busier, Reprinted from Risk & Compliance Magazine, Jul–Sep 2014 Issue
Chapter 26. Financial Fraud Prevention and Detection: Getting Back to Audit Committee Basics, October 24, 2013
Chapter 27. The Board and Risk Management, March 17, 2010
Chapter 28. Eighteen Safeguards to Corporate Self-Investigation, the Metropolitan Corporate Counsel, Volume 12, No. 12, December 2004
Chapter 29. High Frequency Trading Materials
Chapter 30. Omnicare Materials
Chapter 31. Indymac Materials
Chapter 32. Halliburton Materials
Chapter 33. Interagency Guidance on Leveraged Lending, Board of Governors of the Federal Reserve System, Federal Deposit Insurance Corporation, Office of the Comptroller of the Currency, March 21, 2013
Chapter 34. Frequently Asked Questions (FAQ) for Implementing March 2013 Interagency Guidance on Leveraged Lending, Board of Governors of the Federal Reserve System, Federal Deposit Insurance Corporation, Office of the Comptroller of the Currency, November 7, 2014
Chapter 35. Interagency Guidance on Leveraged Lending, Board of Governors of the Federal Reserve System, Division of Banking, Supervision and Regulation, SR 13-3, March 21, 2013, Revised November 13, 2014
Chapter 36. Sullivan & Cromwell LLP Publication, City of Providence v. First Citizens Bancshares, Inc., et al.: Delaware Chancery Court Upholds Forum Selection Bylaw with North Carolina Forum that was Adopted the Same Day as a Merger Agreement, September 15, 2014
Chapter 37. Sullivan & Cromwell LLP Publication, In re Cornerstone Therapeutics Inc. Stockholder Litigation: Delaware Chancery Court Declines to Dismiss Claims Against Disinterested Directors Not Pled with Particularity in Transaction in Which Entire Fairness Review Applies, September 16, 2014
Chapter 38. Sullivan & Cromwell LLP Publication, Anti-Inversion Notice Issued: IRS and Treasury Guidance Intended to Reduce the Tax Benefits of Inversion Transactions, September 24, 2014
Chapter 39. Sullivan & Cromwell LLP Publication, EU Competition Law: European Commission Imposes €20 Million Fine for Failing to Notify a Merger Under the EU Merger Regulation, 24 July 2014
Chapter 40. Sullivan & Cromwell LLP Publication, Adjusting to Shareholder Activism: Active Shareholders are the New Normal, Placing a Premium on Management Preparedness, Board Awareness and Ongoing Shareholder Engagement for Public Companies, August 2, 2013
Chapter 41. Sullivan & Cromwell LLP Publication, In re Orchard Enterprises, Inc. Stockholder Litigation: Delaware Court of Chancery Provides Guidance on Squeeze-Out Mergers and Entire Fairness Review at Summary Judgment, March 14, 2014
Chapter 42. Sullivan & Cromwell LLP Publication, Kahn v. M&F Worldwide Corp.: Delaware Supreme Court Affirms In Re MFW Court of Chancery Ruling that Business Judgment Review Can Apply to Squeeze-Out Mergers Conditioned Up Front on Both Approval by Special Committee and Majority-of-the-Minority Vote, March 17, 2014
Chapter 43. Sullivan & Cromwell LLP Publication, Chen v. Howard-Anderson: Delaware Court of Chancery Limits Scope of Lyondell Chem. Co. v. Ryan for Bad Faith Claims, April 23, 2014
Chapter 44. UK Companies’ Corporate Governance—2014 in Review
Chapter 45. Hypotheticals
Chapter 46. Selected Sources of Materials
Index
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