New feature: Customize your PLUS research experience with
My Preferences
.
Learn more
.
Skip to main content
Create Account
Training Center
Contact Us
Questions? Comments?
Contact us.
Email:
PLUS@pli.edu
Phone:
877.900.5291
PLI.edu
SIGN IN
Search
Browse
All Content
Books
- Answer Books
- Course Handbooks
- Journals
- Insights
- Treatises
Forms & Checklists
Transcripts
My Bookshelf
My History
< Back To Results
1 in 1 results
Previous Result
Next Result
Corporate Compliance and Ethics Institute 2016
Chair(s):
Rebecca Walker, Theodore L. Banks
Practice Area:
Corporate law,
Ethics and professional responsibility,
Regulation and compliance (Corporate law)
Published:
Jun 2016
i
Other versions can be found in the
Related Items
tab.
ISBN:
9781402426742
PLI Item #:
145619
CHB Spine #:
B2244
This version is not current.
Click here for the most recent version.
Search
Email
Print
Add To Bookshelf
Permalink
Table of Contents
Related Items
Select All
Front Matter
Faculty Bios
Table of Contents
Chapter 1. The Evolution of the Law of Corporate Compliance in the United States: A Brief Overview (February 2016)
Chapter 2. Broad Oversight and Compliance Program Structure: Considerations and Challenges When Building a New Compliance Program
Chapter 3. Board Oversight and Program Structure: Program Authority and Independence
Chapter 4. “C” Is for Crucible: Behavioral Ethics, Culture, and the Board’s Role in C-Suite Compliance
Chapter 5. The Reputation Risk Handbook: Surviving and Thriving in the Age of Hyper-Transparency—Chapter 2: Dissecting ‘Reputation Risk’
Chapter 6. Demystifying the Development of a Corporate Policy Center
Chapter 7. Behavioral Ethics and Just-in-Time Compliance Communications
Chapter 8. Moral Intuitionism and Ethics Training
Chapter 9. Department of Justice Press Release: New Compliance Counsel Expert Retained by the DOJ Fraud Section (November 3, 2015)
Chapter 10. DOJ’s Andrew Weissmann and Hui Chen Talk Corporate Compliance in Exclusive Interview
Chapter 11. Department of Justice: Compliance is a Culture, Not Just a Policy (September 9, 2014)
Chapter 12. Sally Quillian Yates Memo on Individual Accountability for Corporate Wrongdoing (September 9, 2015)
Chapter 13. Antitrust Compliance Audit Plan
Chapter 14. Internal Audit and Your Compliance and Ethics Program
Chapter 15. Auditing, Monitoring, Assessing and Other Ways of Checking Your Compliance and Ethics Program
Chapter 16. Social Media and the Law—False Advertising, SPAM and Privacy and Data Security Issues
Chapter 17. Employment and Social Media Law: What Employers Can and Cannot Do to Manage Employee “Speech” on the Internet
Chapter 18. Social Media and Cybersecurity Challenges and Compliance (February 8, 2016)
Chapter 19. An Introduction to Corporate Compliance and Ethics Programs
Chapter 20. Internal Investigations (January 6, 2016)
Chapter 21. The Road Not Taken—Some Observations on Ethical Dilemmas in Internal Investigations
Chapter 22. SEC’s First Whistleblower Award to Company Outsider: Game Changer?
Chapter 23. The Challenge of Global Antitrust Compliance
Chapter 24. Legal Ethics and Compliance (February 21, 2016)
Chapter 25. Internal Investigations: The First 48 Hours
Index
About Us