Annual Institute on Securities Regulation 1992 - Abstracts

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