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Nuts & Bolts of Financial Products 2006: Understanding the Evolving World of Capital Market & Investment Management Products
Chair(s):
Clifford E. Kirsch, Robert S. Risoleo
Practice Area:
Corporate law,
Securities and other financial products
Published:
Feb 2006
i
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ISBN:
140240705X
PLI Item #:
8392
CHB Spine #:
B1529
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Table of Contents
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Front Matter
Table of Contents
Chapter 1. Laying the Foundation -- Investment Management Products, Powerpoint Presentation
Chapter 2. The Mechanics Of Rule 144A/ Regulation S Underwritings
Chapter 3. Sullivan & Cromwell LLP Memorandum, Re: Securities Offering Reform—WKSI and Other Shelf Issuers—Getting Ready For the Changes, October 11, 2005
Chapter 4. Memorandum: DTC Deposit of Rule 144A Securities Issued by Structured Finance and Certain Foreign Issuers Relying on Section 3 (C) (7) of the Investment Company Act, May 1, 1991
Chapter 5. Sullivan & Cromwell LLP Securities Offering Reform Legal Alert, SEC Issues Guidance on Securities Offering Reform Rules, December 1, 2005
Chapter 6. Sullivan & Cromwell LLP Memorandum, Re: SEC Staff Issues Interpretive Guidance Regarding Securities Offering Reform Transition, September 14, 2005
Chapter 7. Sullivan & Cromwell LLP Memorandum, Re: SEC Adopts Landmark Reforms to the Registered Securities Offering Process, August 2, 2005
Chapter 8. Sullivan & Cromwell LLP Memorandum, Re: SEC Charges Huntington Bancshares and Senior Officers With Financial Reporting Fraud Based On Qualitative Materiality, June 13, 2005
Chapter 9. Sullivan & Cromwell LLP Memorandum, Re: Worldcom and Enron—Personal Liability of Outside Directors
Chapter 10. SEC Votes to Publish Reproposed Regulation NMS For Public Comment and to Adopt Asset-Backed Securities Rule Proposal, December 12, 2004
Chapter 11. An Introduction to Mutual Funds
Chapter 12. Mutual Fund Regulation—Talking Points
Chapter 13. Mutual Fund Organization Structure, Powerpoint Presentation
Chapter 14. The Money Management Industry
Chapter 15. Distribution of Mutual Fund Shares
Chapter 16. The Role of Investment Company Directors
Chapter 17. Conflicts of Interest and the 1940 Act: Affiliated and Joint Transactions; Personal Securities Trading
Chapter 18. Hedge Funds
Chapter 19. Creating, Managing and Distributing Offshore Investment Products: A Legal Perspective
Chapter 20. Asset Securitization, Powerpoint Presentation
Chapter 21. Fixed Income Structured Products
Chapter 22. Accounting Issues Affecting the Financial Services Market, Powerpoint Presentation
Chapter 23. Tax Issues
Chapter 24. Tax Issues, Powerpoint Presentation
Chapter 25. Derivatives Products, Powerpoint Presenation
Chapter 26. Clifford Chance US LLP Memorandum, Complex Structured Transaction Diligence: The New Norm (Update), February 25, 2004
Chapter 27. Clifford Chance US LLP, Complex Structured Finance Activities: The Proposed Regulatory Guidance, September 2004
Chapter 28. Documenting OTC Derivative Transactions, Powerpoint Presentation
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