Annual Institute on Securities Regulation 1992 |
Title | Subject | Authors |
1992 developments in trading claims: participations and disputed claims. (Chapter 11 bankruptcies)(includes 1991 and 1990 surveys) | Law | Fortgang, Chaim J., Mayer, Thomas Moers |
After Kaye Scholer: the risks of regulatory and corporate lawyers. (government case against Kaye, Scholer, Fierman, Hays & Handler) | Law | Gillers, Stephen |
Cease and desist authority under the Securities Enforcement Remedies and Penny Stock Reform Act of 1990. | Law | McLucas, William R. |
Challenges to underwriters and their counsel in the modern capital markets environment. | Law | McLaughlin, Joseph |
Chestman revisited: the slow death of fraud. | Law | Groskaufmanis, Karl A. |
Corporate crisis management. (includes bibliography) | Law | Yoskowitz, Irving B. |
Crisis management from a public relations point of view. | Law | Rand, Lawrence A. |
Current issues and rulemaking projects: Division of Corporation Finance. | Law | Walter, Elisse B. |
Due diligence procedures of issuers' representatives in the modern underwriting environment. | Law | Lorne, Simon M. |
Executive compensation and corporate governance; an academic perspective. | Law | Gilson, Ronald J. |
"Gun-jumping" revisited: a proposal to prevent false starts in private offerings. | Law | Longstreth, Bevis, Prager, Joel B. |
Insider trading after Chestman. | Law | Strauss, Audrey, Fishbone, Lisa |
Intercreditor and subordination issues. | Law | Goldstein, Marcia L., McKenna, Sean L. |
Just-in-case: planning for a potential restructuring. (by borrowers) | Law | Seligman, Stephanie J. |
MD&A through the eyes of management: a closer look at the SEC's Caterpillar decision. (management's discussion and analysis) | Law | Pitt, Harvey, Steinwurtzel, Richard A., Gado, Yasmine M. |
Pay for performance. (executive compensation) | Law | Teslik, Sarah A.B. |
Proposed changes to the proxy solicitation rules. | Law | Troy, Richard H. |
Recent developments concerning the disclosure obligations of issuers under the federal securities laws. | Law | Sonsini, Larry W., Berger, David J. |
Recent legislative developments affecting the work of the Securities and Exchange Commission. | Law | Doty, James R. |
Selected issues in restructuring public debt securities. | Law | Milmoe, J. Gregory |
Selected issues respecting stock based compensation schemes. | Law | Kohn, Arthur H., Stable, Susan J., Susko, A. Richard, Wilmit, Alan S. |
Shaping the governance of executive compensation. | Law | Cheek, James H., III |
Shareholder initiatives, institutional investors and the SEC: 14A-8 proposals and new proxy rules. | Law | Kindler, Robert A., Gerstenhaber, Rachel R. |
The banking scandal: an era of new standards for professionals? | Law | Pitt, Harvey, Johnson, Dixie L. |
The Securities and Exchange Commission's small business initiatives. | Law | Blanc, Roger D. |
The year in review: significant judicial developments. | Law | Oberly, Kathryn A., Shapiro, Stephen M. |
Underwriters' counsel in the current capital markets environment. | Law | Thomas, Robert M., Jr. |
U.S. private placements and Rule 144A. | Law | Greene, Edward F. |
When bad things happen to good companies: a crisis management primer. | Law | Pitt, Harvey, Groskaufmanis, Karl A. |
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