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Audit Committee Workshop 2012
Chair(s):
Catherine L Bromilow, Gene A. Capello, John F. Olson
Practice Area:
Accounting, Corporate & Securities
Published:
Jun 2012
ISBN:
9781402418112
PLI Item #:
34431
CHB Spine #:
B1963
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Table of Contents
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Front Matter
Faculty Bios
Table of Contents
Chapter 1. Part 165--Whistleblower Rules
Chapter 2. Continuing the Conversation, Directors Speak--Top Concerns: Whistleblower Bounty, CEO Succession Planning, Say on Pay, and IT Risk, Winter 2012, Issue 2
Chapter 3. U.S. SEC Adopts Final Rules Implementing Whistleblower Provisions of Dodd-Frank
Chapter 4. 2012 Current Developments for Directors: Finding Direction in Uncertain Times, pp. 3-8 (Preparing for a Brave New Emerging World)
Chapter 5. Old Data Learns New Tricks: Managing Patient Privacy and Security on a New Data-Sharing Playground, Health Research Institute, September 2011
Chapter 6. Boards and a Social Networking-Driven Future, NACD Directorship, September 2011, by Bob Zukis
Chapter 7. PwC Comment Letter Re: PCAOB Rulemaking Docket Matter No. 37, Concept Release on Auditor Independence and Audit Firm Rotation, 14 December 2011
Chapter 8. BoardroomDirect: Update on Current Board Issues--Winter 2012
Chapter 9. 2012 Current Developments for Directors: Finding Direction in Uncertain Times, pp. 19-23 (Regulatory Developments)
Chapter 10. Summary of Recent Standard-Setting and Related Rulemaking Activities and Guidance of the Public Company Accounting Oversight Board, April 2012
Chapter 11. Recent Work of the Public Company Accounting Oversight Board, 2011 and the First Quarter of 2012, April 20, 2012
Chapter 12. Selected Recent Developments in U.S. Securities Laws and Corporate Finance, As of April 2, 2012
Chapter 13. Setting the Standard: A Spotlight on the FASB's and IASB's Projects, March 29, 2012
Chapter 14. Point of View: The Path Forward for International Standards in the United States, Considering Possible Alternatives, October 2011
Chapter 15. The Quarter Close: A Look at This Quarter's Financial Reporting Issues, Directors Edition, March 22, 2012
Chapter 16. Key Questions for Audit Committees, 2011-2012 Edition
Chapter 17. Quarterly Outlook, March 2012
Chapter 18. Issues in-Depth, January 2012, No. 12-1, Boards Revise Joint Revenue Recognition Exposure Draft
Chapter 19. Defining Issues, November 2011, No. 11-64, SEC Issues Reports on IFRS Application and Differences with U.S. GAAP
Chapter 20. Defining Issues, March 2012, No. 12-7, FASB and IASB Reconsider Views on Lessee Accounting
Chapter 21. Defining Issues, December 2011, No. 11-68, Boards Make Progress on Impairment Model for Financial Assets
Chapter 22. Audit Committee Checklist and Compliance Timeline, Updated April 23, 2012
Chapter 23. U.S. v. Stevens, 771 F. Supp. 556 (D. MD. 2011)
Chapter 24. U.S. vs. Stevens, Criminal Action: RWT-10-694 (D. MD. May 10, 2011), Transcript of Jury Trial Proceeding, Judgment of Acquittal
Chapter 25. Speech by SEC Staff: Remarks to Criminal Law Group of the UJA-Federation of New York, by Robert S. Khuzami, Director, Division of Enforcement, U.S. Securities and Exchange Commission, New York City, June 1, 2011
Index
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