New Feature: Search Alerts are available now.
Skip to main content
About PLI PLUS
- Answer Books
- Course Handbooks
< Back To Results
1 in 1 results
The Foreign Corrupt Practices Act and International Anti-Corruption Developments 2014
Mark F. Mendelsohn, Richard Grime
Corporate & Securities
PLI Item #:
CHB Spine #:
This version is not current.
Click here for the most recent version.
Add To Bookshelf
Table of Contents
Table of Contents
Chapter 1. Steptoe & Johnson LLP: 2013 FCPA Year in Review, February 28, 2014
Chapter 2. Outline of Selected SEC Enforcement Actions, October 2013
Chapter 3. FCPA Compliance in Joint Ventures
Chapter 4. Bloomberg BNA, Corporate Accountability Report, Does Your Compliance Program Need a Check-Up?
Chapter 5. Counseling Boards of Directors, Board Committees and Senior Management Through FCPA Investigations
Chapter 6. In re Caremark International Inc. Derivative Litigation, 698 A.2d 959 (Del.Ch. 1996)
Chapter 7. Stone v. Ritter, 911 A.2d 362, 370 (Del. 2006)
Chapter 8. Akin Gump Antibribery/Foreign Corrupt Practices Act (FCPA) Alert, August 6, 2013, Recent Developments in Chinese Antibribery Laws and Enforcement
Chapter 9. Emerging Anti-bribery Risks for MNCs Operating in China, March 14, 2014
Chapter 10. Inside the “Africa Sting” Trial: Anatomy of a Failed Prosecution, July 10, 2012
Chapter 11. Recent Developments in FCPA Law and Practice—Focus on Prosecution of Individuals
Chapter 12. Shearman & Sterling LLP FCPA Digest: Recent Trends and Patterns in the Enforcement of the Foreign Corrupt Practices Act, January 2014
Chapter 13. Shearman & Sterling LLP Client Publication: SEC Enforcement Year in Review, January 2014
Chapter 14. World Bank Sanctions System: Tackling Corruption through a Two-Tier Administrative Sanctions Process, February 2014
Chapter 15. Ten Tips on Representing Clients in World Bank Investigations, February 28, 2014
Chapter 16. Feature Comment: The World Bank Implements New Sanctions Procedures, The Government Contractor, Vol. 53, No. 6, February 9, 2011
Chapter 17. Feature Comment: New Developments In The World Bank’s Sanctions Regime, The Government Contractor, Vol. 54, No.19, May 16, 2012
Chapter 18. Serious Economic Crime, A Boardroom Guide to Prevention and Compliance, 8, Co-ordinating the Fight Against Fraud and Corruption: Agreement on Cross-debarment Among Multilateral Development Banks
Chapter 19. Integrity Vice Presidency, The World Bank Group, October 4, 2013
Chapter 20. Shearman & Sterling FCPA Digest: Recent Trends and Patterns in the Enforcement of the Foreign Corrupt Practices Act, January 2014 (SEE CHAPTER 12)
Chapter 21. Commentary in Support of and Against a Compliance Defense to FCPA Liability and Discussing the Pros and Cons of Self-Disclosure: An Annotated Bibliography, May 2, 2014
Chapter 22. Just Say Yes to the Compliance Defense
Chapter 23. Investigations Quarterly, Vol. 1, Issue 15, 2014, Capitalizing on Compliance, Private Equity Firms Can Prevent Exposure—and Uncover Value—Under Government Scrutiny
All Contents Copyright © 1996-2020 Practising Law Institute.
PLI Librarian Blog
PLI PLUS app
Continuing Legal Education since 1933.