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Preparation of Annual Disclosure Documents 2005
Chair(s):
Jerry J. Burgdoerfer, Natalia Delgado, Abigail Arms, John M. Iino
Practice Area:
Corporate law,
Securities and other financial products
Published:
Jan 2005
i
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ISBN:
1402405472
PLI Item #:
6236
CHB Spine #:
B1463, B1464
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Table of Contents
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Front Matter
Table of Contents
Chapter 1. Overview of the SEC and Other Developments Affecting the Preparation of Annual Disclosure Documents, November 30, 2004 (with Exhibits (a) though (f))
Chapter 2. SEC Proposed Rule: Securities Offerings Reform Release Nos. 33-8501, 34-50604, IC-26649, International Series Release No. 1282, File No. S7-38-04, November 3, 2004
Chapter 3. MD&A 2004, Linchpin of SEC Post-Enron Disclosure Reform (with Exhibits (a) through (c))
Chapter 4. SEC Hot Topics, Non-GAAP Issues (PowerPoint Presentation)
Chapter 5. Protecting Forward-Looking Statements: The Private Securities Litigation Reform Act of 1995 and Other Safeguards
Chapter 6. Management's Discussion and Analysis in SEC Related Documents
Chapter 7. Recent Developments in the MD&A
Chapter 8. FAS 123R Stock Compensation, Revenue Recognition, FIN 46R, Discontinued Operations
Chapter 9. Accounting for Transactions/Events: Four Questions Business Lawyers Should Ask
Chapter 10. Memorandum: Practical Advice for Complying with the New Form 8-K Requirements
Chapter 11. Monograph
Chapter 12. Regulation FD 2004
Chapter 13. Sample Disclosure Forms (with Exhibits (a) through (r))
Chapter 14. The Audit Committee, Pfizer Inc.
Chapter 15. Del Monte Foods Audit Committee - Selected Materials (with Exhibits (a) - (d))
Chapter 16. Audit Committees Under Sarbanes Oxley and New Commission and SRO Rules (with Exhibits (a) - (d))
Chapter 17. Audit Committees (PowerPoint presentation)
Chapter 18. Del Monte Foods, Statement of Policy and Procedures of Engagements for Audit and Non-Audit Servicess
Chapter 19. Recent SEC Enforcement Cases
Chapter 20. An Issue-Annotated Version of the SOx Rules for Lawyer Conduct (c), August 2004
Chapter 21. Recent Developments in the Interpretation of the Sarbanes-Oxley Act Whistleblower Provisions
Chapter 22. Up the Ladder and Beyond: Attorney Conduct and Reporting Duties with Respect to Issuers, Auditors and the Commission Under SEC Implementing Rules to the Sarbanes-Oxley Act of 2002
Chapter 23. The Proxy Solicitation Process
Chapter 24. Corporate Governance Practices of the 100 Largest U.S. Companies
Chapter 25. Annual Corporate Governance Review: Annual Meetings, Shareholder Initiatives and Proxy Contests 2004
Chapter 26. Shareholder Proposals
Chapter 27. Code of Ethics: Thanks to SOX, You Need COE for Your CEO and CFO, MWorld, Summer 2003
Chapter 28. Sample Code of Ethics Documents (with Exhibits (a) - (f))
Chapter 29. The Compensation Committee, Pfizer Inc
Chapter 30. Checklist of Executive Compensation Issues for the 2005 Proxy Season
Chapter 31. Executive Compensation Issues (PowerPoint Presentation)
Chapter 32. Laws Defining and Regulating Corporate Insiders' Compensation and Conduct (Including Disclosure Requirements), November 2004
Chapter 33. Disclosure of Employment and Retirement Contract Terms
Chapter 34. SEC Securities Exchange Act of 1934, Release No. 50426, Administrative Proceeding, File No. 3-11677, September 23, 2004
Chapter 35. Insider Trading and Disclosure (with Exhibits)
Chapter 36. Memorandum, Stock Trading Plans under Rule 10b5-1, Pre-arranged Periodic Stock Trading Plans for Company Insiders Who Have Frequent Access to Material Nonpublic Information
Chapter 37. Planning and Conducting the Annual Shareholder's Meeting, November 1, 2004
Chapter 38. Drafting the Form 10-K (with Exhibits)
Chapter 39. Drafting the Proxy Statement, November 22, 2004
Chapter 40. Sample Proxy Statement Timeline/Process Map
Chapter 41. The Annual Report to Shareholders, November 1, 2004
Chapter 42. Bases for the Public Company's Year-End Disclosure Obligations, November 30, 2004
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