The Art and Science of Securities Law

The Art and Science of Securities Law

Author: Aspatore Books

Publisher:

Published: 2005

Total Pages: 206

ISBN-13:

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The Art and Science of Securities Law is an authoritative, insider's perspective on the issues surrounding securities law. The reader will become familiar with topics such as significant securities laws and regulations, the importance of disclosure documents, and the future of securities law, on a global scale. Featuring department heads, group chairs, and leading partners, all representing some of the nation's top firms, this book provides a broad, yet comprehensive overview of the practice of securities law, discussing the current shape and future state of the practice area from the founding doctrines, to the pivotal cases of today. From the steps involved in effectively counseling clients in this highly regulated environment to crucial tactics around advising clients on all aspects of compliance, these authors articulate the finer points around securities now, and what will hold true into the future. The different niches represented and the breadth of perspectives presented enable readers to get inside some of the great legal minds of today as experts offer up their thoughts around the keys to success within this fascinating practice area. About Inside the Minds:Inside the Minds provides readers with proven business intelligence from C-Level executives (Chairman, CEO, CFO, CMO, Partner) from the world's most respected companies nationwide, rather than third-party accounts from unknown authors and analysts. Each chapter is comparable to an essay/thought leadership piece and is a future-oriented look at where an industry, profession or topic is headed and the most important issues for the future. Through an exhaustive selection process, each author was hand-picked by the Inside the Minds editorial board to author a chapter for this book.This book is by:Stewart D. Aaron, Arnold & Porter LLPThe Importance of Disclosure in Securities CasesMelodie Rose, Fredrikson & ByronAdding Value for ClientsRichard J. Morvillo, Crowell & Moring LLPCounseling Clients in a Highly-Regulated EnvironmentJerry Burgdoerfer, Jenner & BlockGoing Beyond Legal Requirements to Understand a Companys BusinessDavid W. Braswell, Armstrong Teasdale LLPAdvising Clients on All Aspects of ComplianceBruce G. Leto, Stradley, Ronon Stevens & Young, LLPUnderstanding Significant Laws and RegulationsMatthew S. Heiter, Baker, Donelson, Bearman, Caldwell & Berkowitz, PCOutlining Securities Law


Art and Science of Securities Law

Art and Science of Securities Law

Author: Aspatore Books Staff

Publisher:

Published: 2005

Total Pages: 0

ISBN-13: 9781280355578

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Securities Cases" Melodie Rose, Fredrikson & Byron-"Adding Value for Clients" Richard J. Morvillo, Crowell & Moring LLP-"Counseling Clients in a Highly-Regulated Environment" Jerry Burgdoerfer, Jenner & Block-"Going Beyond Legal Requirements to Understand a Company's Business" David W. Braswell, Armstrong Teasdale LLP-"Advising Clients on All Aspects of Compliance" Bruce G. Leto, Stradley, Ronon Stevens & Young, LLP-"Understanding Significant Laws and Regulations" Matthew S. Heiter, Baker, Donelson, Bearman, Caldwell & Berkowitz, PC-"Outlining Securities Law"


United States Securities Law

United States Securities Law

Author: James M. Bartos

Publisher: Kluwer Law International B.V.

Published: 2006-01-01

Total Pages: 326

ISBN-13: 9041123628

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Capital raising, mergers and acquisitions and securities trading around the world often involve some connection with the United States and implicate the US securities laws. United States Securities Law: A Practical Guide ,offers a concise overview of US securities laws from the perspective of a non-US participant. It is written not only for lawyers but for managers, bankers and others with an interest in the topic. This new edition has been significantly updated and expanded, including for the SEC's recent offering reforms and corporate governance developments. Praise for the Second Edition: This book has been a valuable resource in effectively counselling my company in the intricacies of SEC regulation. Jim, with his many years of counselling foreign issuers out of his firms London office, writes with a perspective that is particularly relevant to the needs of foreign companies listed on US exchanges. George Miller, Executive Vice President and General Counsel, Novartis Corporation. A well written and useful primer for those looking for quick, practical answers to real life questions or who wish to understand better the background and rationale to US securities law and regulation. Leland Goss, Managing Director, Credit Suisse. This book really is a practical guide to the US securities laws. It does a great job of explaining the rules and regulations in a way that can be understood by readers that are not themselves US securities lawyers. Peter Castellon, Director andamp; Counsel, Citigroup Corporate andamp; Investment Banking.


Rethinking Securities Law

Rethinking Securities Law

Author: Marc I. Steinberg

Publisher: Oxford University Press

Published: 2021

Total Pages: 361

ISBN-13: 0197583148

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"This book focuses on a very timely and important subject that merit s comprehensive analysis: "rethinking" the securities laws, with particular emphasis on the Securities Act and Securities Exchange Act. The system of securities regulation that prevails today in the United States is one that has been formed through piecemeal federal legislation, Securities and Exchange Commission (SEC) in vocation of its administrative authority, and self-regulatory episodic action. As a consequence, the presence of consistent and logical regulation all too often is lacking. In both transactional and litigation settings, with frequency, mandates apply that are erratic and antithetical to sound public policy. Over four decades ago, the American Law Institute (ALI) adopted the ALI Federal Securities Code. The Code has not been enacted by Congress and its prospects are dim. Since that time, no treatise, monograph, or other source comprehensively has focused on this meritorious subject. The objective of this book is to identify the deficiencies that exist under the current regimen, address their failings, provide recommendations for rectifying these deficiencies, and set forth a thorough analysis for remediation in order to prescribe a consistent and sound securities law framework. By undertaking this challenge, the book provides an original and valuable resource for effectuating necessary law reform that should prove beneficial to the integrity of the U.S. capital markets, effective and fair government and private enforcement, and the enhancement of investor protection"--


Securities Law & Practice

Securities Law & Practice

Author: Wen De Keesee

Publisher: wil keesee

Published: 2021-09

Total Pages: 508

ISBN-13: 1736209582

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The world is witnessing the big bang of scientific discovery, and biotech stocks are on fire! The bio-pharma industry employs over 4 million people just in the US. Potentially 100’s of new little biotech companies will develop new generations of medicines and medical devices while creating vast numbers of new millionaires. The new Masters of Bioscience Law & Technology Mini-MBA certificate program, provides leading edge business skills, and leadership training to help propel your career forward. In recent years entrepreneurship has been added to many MBA curriculums, but starting your own business doesn’t have to take two years in school and $100,000+ in tuition. To stimulate prospective leaders, this new program will encourage all applicants to be reviewed for scholarship opportunities. What are you waiting for! Register now for the online Bioscience Law & Technology Mini-MBA certificate, and complete the registration form below. Now is the time to jump in! The Biotech “Gold Rush” is On! What are you waiting for?


Capital Markets and Securities Laws

Capital Markets and Securities Laws

Author: E. T. Lokganathan

Publisher:

Published: 2019-11

Total Pages: 174

ISBN-13: 9788177084931

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Prior to the initiation of financial reforms in the early 1990s, capital market structure in India was subject to several controls and opaque procedures. Raising of capital from the market was regulated by the Capital Issues (Control) Act, 1947 which was administered by the Controller of Capital Issues (CCIs) in the Ministry of Finance, Government of India. The Securities Contracts (Regulation) Act, 1956 was administered by the Directorate of Stock Exchanges, also in the Ministry of Finance. This system of regulation and control was fragmented and inadequate in the context of liberalisation wave sweeping across the world. It was in this backdrop that wide-ranging financial sector reforms in India were introduced as an integral part of the economic reforms process started in the early 1990s. Reforms in respect of capital markets have focused on creating a deregulated environment and enabling free play of market forces while at the same time strengthening the prudential norms and the supervisory system.