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Directors' Institute on Corporate Governance (Fifteenth Annual)
Chair(s):
Mark J. Gentile, Jeffrey D. Karpf, Keir D. Gumbs
Practice Area:
Corporate & Securities
Published:
Nov 2017
ISBN:
9781402430275
PLI Item #:
185472
CHB Spine #:
B2368
This version is not current.
Click here for the most recent version.
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Front Matter
Faculty Bios
Table of Contents
Chapter 1. The Supreme Court Limits the SEC’s Disgorgement Power (June 7, 2017)
Chapter 2. Circuits Split on Constitutionality of SEC Administrative Law Judges (January 4, 2017)
Chapter 3. Any Agreements with Employees Might Implicate Whistleblower Rules (September 30, 2016)
Chapter 4. The Supreme Court Limits Newman, but the Government Still Faces Obstacles in Insider Trading Cases (December 8, 2016)
Chapter 5. The Second Circuit Clarifies Corruption Standards Following Supreme Court’s McDonnell Decision (July 20, 2017)
Chapter 6. SEC, Hungarian Executives Settle 5-Year FCPA Suit That Generated Government-Friendly Rulings on Threshold Legal Issues (April 28, 2017)
Chapter 7. France Implements Sweeping Anti-Corruption Reform (March 22, 2017)
Chapter 8. Jury Awards Ousted General Counsel Nearly $11 Million in Whistleblower Retaliation Action—Key Takeaways (February 21, 2017)
Chapter 9. Department of Justice Foreign Corrupt Practices Act Enforcement Initiatives (January 17, 2017)
Chapter 10. DOJ Launches Foreign Corrupt Practices Act Pilot Program (April 15, 2016)
Chapter 11. Say-on-Pay Rulebook: An Investor Perspective
Chapter 12. SEC Provides New Guidance on Pay Ratio Disclosure Rule (September 26, 2017)
Chapter 13. With the Benefit of Hindsight: The Wells Fargo Sales Practices Investigation Report (May 3, 2017)
Chapter 14. Compensation Considerations (January 17, 2017)
Chapter 15. Delaware Chancery Court Revisits the Topic of Fiduciary Duties of Directors in Approving Senior Executive Compensation Packages (March 8, 2016)
Chapter 16. SEC Signals Some Relief on Conflict Minerals Rule (April 17, 2017)
Chapter 17. EU Adopts Final Regulation on Importation of Conflict Minerals (March 28, 2017)
Chapter 18. The New Revenue Standard—Are You Still Assessing the Impact? (September 5, 2017)
Chapter 185472_Chapter19_Fifteenth_Directors_Inst_Corp_Gov_2017_CC111701854720235098.xml. On the Board’s Agenda
Chapter 20. PCAOB Adopts Changes to the Auditor’s Report (June 20, 2017)
Chapter 21. PCAOB Issues Proposals to Enhance and Strengthen Requirements for Auditing Accounting Estimates, Including Fair Value, and to Address the Auditor’s Use of the Work of Specialists (June 12, 2017)
Chapter 22. Implementing the New Revenue Standard—How Do Your Disclosures Stack Up? (June 5, 2017)
Chapter 23. Internal Control Considerations Related to Adoption of the New Revenue Recognition Standard (May 9, 2017)
Chapter 24. Forecasting Revenue Disclosures—Storm Brewing? (February 22, 2017)
Chapter 25. Setting the Record Straight: Regulation G Does Not Apply to Non-GAAP Financial Projections in M&A Transactions (September 18, 2017)
Chapter 26. Trend Disclosure Under S-K 303: How Far Does the Eye Have to See? (June 22, 2017)
Chapter 27. Accounting for Minority Equity Investments: A Small Change with Significant Implications (June 12, 2017)
Chapter 28. New PCAOB Standard Will Mean Big Changes in Audit Reports (June 2, 2017)
Chapter 29. Audits and Adversaries: Making Disclosures to Your Auditors Without Waiving Your Privilege (May 1, 2017)
Chapter 30. Non-GAAP Financial Measures: The SEC’s Evolving Views (June 13, 2016)
Chapter 31. SEC Releases New Guidance on Non-GAAP Financial Measures (May 18, 2016)
Chapter 32. Directors’ Institute on Corporate Governance (PowerPoint slides)
Chapter 33. What is SRI? ESG? (PowerPoint slides)
Chapter 34. SEC Permits All Companies to File Certain Registration Statements Confidentially (July 5, 2017)
Chapter 35. Choice Act 2.0: Key Capital Markets and Securities Law Provisions (May 2, 2017)
Chapter 36. SEC Requires Hyperlinks to Exhibits: Also Proposes Rules Requiring Use of Inline XBRL (April 11, 2017)
Chapter 37. SEC Proposes Rules Requiring the Use of Universal Proxy Cards in Contested Director Elections (December 6, 2016)
Chapter 38. SEC Enhances Exemptions for Local Offerings (December 1, 2016)
Chapter 39. Delaware Supreme Court Declines to Establish a Presumption in Favor of Deal Price in Appraisal Actions—Or Did It? (August 8, 2017)
Chapter 40. 2017 Securities and M&A Litigation Mid-Year Review (August 2, 2017)
Chapter 41. Chancery Finds Fair Value to Be Less Than Half Merger Price (July 25, 2017)
Chapter 42. Between Contractual and Fiduciary Duties: ODN Holding and the Rights of Preferred Stockholders (June 8, 2017)
Chapter 43. Chancery Court Suggests That Rights Offerings May Limit Liability in Transactions with Controlling Stockholders (June 7, 2017)
Chapter 44. Assessing Financial Advisor Compensation Disclosure Following Vento v. Curry (April 10, 2017)
Chapter 45. Tax Opinion Closing Conditions in M&A Transactions Following Delaware Litigation Over ETE/Williams’s Busted Deal (March 28, 2017)
Chapter 46. The New Media Landscape—The Evolving Role of Social Media in Corporate, Crisis and Political Communications (October 2, 2017)
Chapter 47. Responding to a Politician’s Social Media Attack (February 9, 2017)
Chapter 48. Best Practices for Victim Response and Reporting of Cyber Incidents (April 2015)
Chapter 49. Third-Party Cyber Risk & Corporate Responsibility (February 2017)
Chapter 50. “Proposed NY Cybersecurity Regulation: A Giant Leap Backward?”, Forbes (December 2, 2016) https://www.forbes.com/sites/realspin/2016/12/02/proposed-ny-cybersecurity-regulation-a-giant-leapbackward/amp/#7d6d0b5821f9
Chapter 51. Cyberthreat Spawns New Era of Public-Private Collaboration (February 20, 2015)
Chapter 52. Cybersecurity Partnerships: A New Era of Public-Private Collaboration (October 2014)
Chapter 53. After the Breach: Cybersecurity Liability Risk
Chapter 54. From the War Room to the Board Room? Effectively Managing Cyber Risk without Joining the Front Lines (June 2015)
Chapter 55. One More Reason for Companies to Report Data Breaches (May 26, 2015)
Chapter 56. Palkon v. Holmes, No. 2:14-CV-01234 (SRC) (D.N.J. 2014)
Chapter 57. NY Regulations Set the Bar High for Cybersecurity Standards (August 25, 2017)
Chapter 58. NYDFS Cybersecurity Regulations Take Effect (August 21, 2017)
Chapter 59. SEC Issues Risk Alert Based on Cybersecurity Survey (August 11, 2017)
Chapter 60. Recent Developments Highlight Measures to Mitigate Litigation and Regulatory Exposure from Cyber-Attacks (June 21, 2017)
Chapter 61. Cybersecurity in the EU—The New Regime Under the GDPR and NISD (May 3, 2017)
Index
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