MARC 主机 00000nam 2200000Ii 4500 001 ocn864821522 003 OCoLC 005 20131209093129.0 008 131209s2013 nyuacd b 001 0 eng 020 9781402421099 020 1402421095 035 (OCoLC)864821522 040 CGQ|beng|erda|cSLA|dCGQ|dOCLCO|dPQD|dSLA 043 n-us--- 049 SLAA 079 ocn862171943 090 KF1440|b.I525 2013 111 2 Institute on Securities Regulation|n(45th :|d2013 :|cNew York, N.Y.) 245 10 45th annual Institute on Securities Regulation /|cco- chairs, Alan L. Beller, David M. Lynn, Colleen P. Mahoney. 246 3 Forty-fifth annual Institute on Securities Regulation. 246 10 Annual Institute on Securities Regulation 264 1 New York, New York :|bPractising Law Institute,|c[2013] 300 2 volumes (1236, 1292 pages) :|billustrations, charts, portraits ;|c23 cm. 336 text|btxt|2rdacontent 337 unmediated|bn|2rdamedia 338 volume|bnc|2rdacarrier 490 1 Corporate law and practice course handbook series ; |vnumber B-2062, B-2063 500 "Prepared for distribution at the 45th Annual Institute on Securities Regulation, New York Hilton, New York City, November 6-8, 2013, Live Webcast: www.pli.edu" --Page 5. 610 10 United States.|tDodd-Frank Wall Street Reform and Consumer Protection Act 610 10 United States.|bSecurities and Exchange Commission|xRules and practice. 650 0 Securities|zUnited States. 650 0 Securities industry|xLaw and legislation|zUnited States. 650 0 Disclosure of information|xLaw and legislation|zUnited States. 650 0 Corporate governance|xLaw and legislation|zUnited States. 650 0 Consolidation and merger of corporations|xLaw and legislation|zUnited States. 690 Securities Law. 690 Corporations and Partnerships. 700 1 Beller, Alan L.|echair. 700 1 Lynn, David M.|echair. 700 1 Mahoney, Colleen P.,|d1957-|echair. 710 2 Practising Law Institute.|esponsoring body. 830 0 Corporate law and practice course handbook series ;|vno. B -2062, B-2063. 955 |qnew1312|qna1312 970 01 |l|tVOLUME ONE 970 11 |l1.|tIntegration of Private and Public Offerings Update |cStanley Keller|fKeller, Stanley|p1-137 970 11 |l2.|tEdwards Wildman Client Advisory: SEC Adopts Rules on General Solicitation that Fundamentally Change Private Capital Raising and Proposes Further Revisions, July 2013 |cSubmitted by: Stanley Keller|fKeller, Stanley|p1-191 970 11 |l3.|tGeneral Solicitation: What Congress Giveth, the SEC Proposes to Taketh Away|cStanley Keller|fKeller, Stanley |p1-199 970 11 |l4.|tAlternatives to Registration Chart|cStanley Keller |fKeller, Stanley|cJean E. Harris|fHarris, Jean E. |cRichard M. Leisner|fLeisner, Richard M.|p1-211 970 11 |l5.|tSEC Press Release: SEC Approves JOBS Act Requirement to Lift General Solicitation Ban, July 10, 2013|p1-217 970 11 |l6.|tSEC Fact Sheet: Eliminating the Prohibition on General Solicitation and General Advertising in Certain Offerings, SEC Open Meeting, July 10, 2013|p1-221 970 11 |l7.|tSEC Fact Sheet: Proposing Amendments to Private Offering Rules, SEC Open Meeting, July 10, 2013|p1-227 970 11 |l8.|tSEC Fact Sheet: Disqualification of Felons and Other Bad Actors from Rule 506 Offerings, SEC Open Meeting, July 10, 2013|p1-235 970 11 |l9.|tSEC FAQs on Conflict Minerals, May 30, 2013|p1-241 970 11 |l10.|tSection 13(r) CDIs Exchange Act CDIs 147.01 Through 147.07|cSubmitted by: Keith F. Higgins|fHiggins, Keith F. |p1-249 970 11 |l11.|tSocial Media and Regulation FD|cMeredith B. Cross |fCross, Meredith B.|cIan C. Wildgoose Brown|fWildgoose Brown, Ian C.|cJennifer A. Zepralka|fZepralka, Jennifer A. |p1-255 970 11 |l12.|tSocial Media and Regulation FD in a Post Netflix World|cCatherine T. Dixon|fDixon, Catherine T., 1955-|p1- 275 970 11 |l13.|tSEC Declines Enforcement Action in Netflix REG FD Matter and Issues Social Media Guidance|cSubmitted by: Steven E. Bochner|fBochner, Steven E.|p1-293 970 11 |l14.|tCalSTRS Corporate Governance 2013 Annual Report, Spring, 2013|cSubmitted by: John W. White|fWhite, John W. |p1-297 970 11 |l15.|tViewpoints for the Audit Committee Leadership Summit, Board Shareholder Engagement, Issue 21: 2 May 2013 |cSubmitted by: John W. White|fWhite, John W.|p1-331 970 11 |l16.|tEquilar Outlook on 2013 Say on Pay Responses |cSubmitted by: John W. White|fWhite, John W.|p1-349 970 11 |l17.|tSemler Brossy, 2013 Say on Pay Results, Russell 3000, July 31, 2013|cSubmitted by: John W. White|fWhite, John W.|p1-357 970 11 |l18.|tThe Conference Board, Proxy Voting Fact Sheet, July 2013|cSubmitted by: John W. White|fWhite, John W.|p1-373 970 11 |l19.|tUnited States House of Representatives, Committee on Financial Services, Subcommittee on Capital Markets, June 5, 2013 Hearing on "Examining the Market Power and Impact of Proxy Advisory Firms"|cSubmitted by: John W. White|fWhite, John W.|p1-431 970 11 |l20.|tTIAA CREF Policy Statement on Corporate Governance, 6th Edition|cSubmitted by: Stephen L. Brown|fBrown, Stephen L.|p1-537 970 11 |l21.|t2013 Proxy Season Review, United States|cSubmitted by: Gary Retelny|fRetelny, Gary|p1-567 970 11 |l22.|tPrepared Remarks of U.S. Attorney Preet Bharara, Citizens Crime Commission, The Cyber Threat: Are Government and Industry 'Outgunned'?, April 16, 2012 |cSubmitted by: Richard H. Walker|fWalker, Richard H.|p1- 625 970 11 |l23.|tKaye Scholer White Collar/FCPA Alert: SEC and DOJ Reward Ralph Lauren for Self Reporting FCPA Violations, April 23, 2013|cSubmitted by: Richard H. Walker|fWalker, Richard H.|p1-639 970 11 |l24.|tSidley Austin LLP FCPA Update: The Top Ten Take Aways from the DOJ and SEC Resource Guide to the U. S. Foreign Corrupt Practices Act, November 30, 2012 |cSubmitted by: Richard H. Walker|fWalker, Richard H.|p1- 645 970 11 |l25.|tSidley Austin LLP FCPA Update: DOJ & SEC Release Long Anticipated FCPA Guide, November 15, 2012|cSubmitted by: Richard H. Walker|fWalker, Richard H.|p1-659 970 11 |l26.|tGibson Dunn 2012 Year End FCPA Update, January 2, 2013|cSubmitted by: Richard H. Walker|fWalker, Richard H. |p1-665 970 11 |l27.|tManaging a Corporate Crisis: The Ten Commandments of Crisis Management|cJohn F. Savarese|fSavarese, John F. |cSubmitted by: Richard H. Walker|fWalker, Richard H.|p1- 699 970 11 |l28.|tPearl Meyer & Partners, Trends and Issues, Say on Pay Game Plan: A Best Practice Processfor Overcoming a Negative Vote|cSubmitted by: Richard H. Walker|fWalker, Richard H.|p1-729 970 11 |l29.|tSullivan & Cromwell LLP Memorandum, Say on Pay Review of 2012 Proxy Season Results, July 17, 2012 |cSubmitted by: Richard H. Walker|fWalker, Richard H.|p1- 739 970 11 |l30.|tMemorandum from Majority Staff, Committee on Commerce, Science, and Transportation, to Senator Rockefeller, Chairman of the Committee on Commerce, Science, and Transportation, Re: Summary of the Feedback on Cybersecurity from "Fortune 500" Companies, Dated January 28, 2013|cSubmitted by: Bradley E. Lerman|fLerman, Bradley E.|p1-757 970 11 |l31.|tU.S. Cybersecurity s Path from Legislative Debate to Executive Action, Corporate Counsel, August 9, 2012 |cSubmitted by: Bradley E. Lerman|fLerman, Bradley E.|p1- 767 970 11 |l32.|tDebevoise & Plimpton LLP FCPA Update, the FCPA in 2012: Release of the Government s Guidance Caps a Year of Disparate Developments, January 2013, Vol. 4, No. 6 |cSubmitted by: Louise M. Parent|fParent, Louise M.|p1-775 970 11 |l33.|tDebevoise & Plimpton LLP FCPA Update, Spotlight on Latin America: Overview, March 2013, Vol. 4, No. 8 |cSubmitted by: Louise M. Parent|fParent, Louise M.|p1-803 970 11 |l34.|tDebevoise & Plimpton LLP FCPA Update, Spotlight on Southeast Asia, June 2013, Vol. 4, No. 11 /|rLouise M. Parent American Express Company|cSubmitted by: Louise M. Parent|fParent, Louise M.|p1-825 970 11 |l35.|tDebevoise & Plimpton LLP FCPA Update, the Total S.A. Action: Are Administrative Orders the SEC s FCPA Resolution of Choice for the Future?, July 2013, Vol. 4, No. 12|cSubmitted by: Louise M. Parent|fParent, Louise M. |p1-841 970 11 |l36.|tSullivan & Cromwell LLP Memorandum, Adjusting to Shareholder Activism, August 22, 2013|cSubmitted by: Gloria Santona|fSantona, Gloria|p1-855 970 11 |l37.|tThe Evolving Responsibilities of Audit Committees, August 2013|cLinda L. Griggs|fGriggs, Linda L.|p1-867 970 11 |l38.|tThe SEC s Renewed Interest in Accounting Cases A New Beginning, or a Victim of Fait? September 2013|cLinda L. Griggs|fGriggs, Linda L.|cJohn J. Huber|fHuber, John J. |cChristian J. Mixter|fMixter, Christian J.|p1-889 970 11 |l39.|tCurrent FASB Projects that May Affect Lawyers, August 2013|cLinda L. Griggs|fGriggs, Linda L.|p1-927 970 11 |l40.|tPCAOB Release No. 2013 005, August 13, 2013, Proposed Auditing Standards|cSubmitted by: James R. Doty |fDoty, James R.|p1-955 970 11 |l41.|tSecond Report on the Progress of the Interim Inspection Program Related to Audits of Brokers and Dealers, PCAOB Release No. 2013 006, August 19, 2013 |cSubmitted by: James R. Doty|fDoty, James R.|p1-1119 970 11 |l42.|tAileen Beattie Memorial Address on the Role of the Audit in the Global Economy, Institute of Chartered Accountants of Scotland Stationers Hall, Ave Maria Lane, London, England, by James R. Doty, Chairman, Public Accounting Oversight Board, April 18, 2013|cJames R. Doty |fDoty, James R.|p1-1165 970 11 |l43.|tPCAOB Initiatives Affecting the Work of the Audit Committee|cDaniel L. Goelzer|fGoelzer, Daniel L.|p1-1183 970 11 |l44.|tMeasuring Audit Quality, Remarks by Daniel L. Goelzer at the American Bar Association Business Law Section 2013 Spring Meeting, April 4, 2013|cDaniel L. Goelzer|fGoelzer, Daniel L.|p1-1217 970 11 |l45.|tAudit Committee Agenda: Discussion of the Auditor s PCAOB Inspection Report|cDaniel L. Goelzer|fGoelzer, Daniel L.|p1-1229 970 01 |l|tVOLUME TWO 970 11 |l46.|tMorrison & Foerster Client Alert: CFTC Adopts Substituted Compliance Approach for Registered Investment Companies That Are Commodity Pools, August 14, 2013 |cKelley A. Howes|fHowes, Kelley A.|cJay G. Baris|fBaris, Jay G.|p2-41 970 11 |l47.|tMorrison & Foerster Client Alert: Insider Trading in Mutual Funds: Do Traditional Theories Apply?, August 8, 2013|cJay G. Baris|fBaris, Jay G.|cKelley A. Howes|fHowes, Kelley A.|cDaniel A. Nathan|fNathan, Daniel A.|p2-49 970 11 |l48.|tMorrison & Foerster Client Alert: Goldilocks, Porridge and General Solicitation, July 10, 2013|cJay G. Baris|fBaris, Jay G.|cDavid M. Lynn|fLynn, David M.|cAnna T. Pinedo|fPinedo, Anna T.|p2-57 970 11 |l49.|tStructured Products: Investment Company Act and Investment Advisers Act Considerations, the Review of Securities & Commodities Regulation, Vol. 46, No. 7, April 3, 2013|cAnna T. Pinedo|fPinedo, Anna T.|cJay G. Baris |fBaris, Jay G.|p2-65 970 11 |l50.|tMorrison & Foerster Socially Aware: Private Funds on Social Media Proceed with Caution, July 15, 2013|cJay G. Baris|fBaris, Jay G.|p2-77 970 11 |l51.|tSchulte Roth & Zabel Alert: The SEC s JOBS Act Rulemaking: What It Means for Private Fund Managers, July 24, 2013|cBrad L. Caswell|fCaswell, Brad L.|cBrian T. Daly |fDaly, Brian T.|cMarc E. Elovitz|fElovitz, Marc E.|cJacob Preiserowicz|fPreiserowicz, Jacob|cPaul N. Roth|fRoth, Paul N.|p2-83 970 11 |l52.|tStradley Ronon Fund Alert, Money Market Fund Reform : SEC Proposes Fundamental Reform and Other Significant Rule Amendments, July 2013|cJoan Ohlbaum Swirsky|fOhlbaum Swirsky, Joan|cSubmitted by: Allison M. Fuller|fFuller, Allison M.|p2-95 970 11 |l53.|tSkadden Memorandum: CFTC Issues Final Guidance and Accompanying Exemptive Order on Cross Border Application of Certain Swap Regulations, July 31, 2013|cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-137 970 11 |l54.|tSkadden Securities Regulation and Compliance Alert: SEC Resources Extraction Issuer Disclosure Rules Vacated, July 3, 2013|cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-159 970 11 |l55.|tSkadden Executive Compensation and Benefits Alert: Skadden s Proxy Watch: Latest 2013 Say On Pay Trends and a Proxy Litigation Update, July 23, 2013|cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-165 970 11 |l56.|tSkadden Securities Regulation and Compliance Alert: SEC Staff Issues Conflict Minerals & Resource Extraction Payments Disclosure Guidance, June 3, 2013|cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-173 970 11 |l57.|tSkadden Securities Regulation and Compliance Alert: Getting Back to Basics with Rule 10b5 1 Trading Plans, April 9, 2013|cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-179 970 11 |l58.|tSkadden Corporate Finance Alert: Tweet This! SEC Addresses Application of Regulation FD to Social Media, April 3, 2013|cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-185 970 11 |l59.|tSkadden Securities Regulation and Compliance Alert: Guidance on New Iran Related Disclosure Requirements, February 7, 2013|cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-191 970 11 |l60.|tRecommendations of the Investor Advisory Committee Regarding SEC Rulemaking to Explore Universal Proxy Ballots (Adopted July 25, 2013)|cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-195 970 11 |l61.|tRecommendations of the Investor Advisory Committee Regarding SEC and the Need for the Cost Effective Retrieval of Information by Investors (Adopted July 25, 2013)|cSubmitted by: Brian V. Breheny|fBreheny, Brian V. |p2-203 970 11 |l62.|tCommittee on Disclosure of Corporate Political Spending Petition for Rulemaking, August 3, 2011 |cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-213 970 11 |l63.|tRequest for Rulemaking Concerning Amending Rule 10b5 1, December 28, 2012|cSubmitted by: Brian V. Breheny |fBreheny, Brian V.|p2-227 970 11 |l64.|tPetition for Rulemaking Under Section 13(f) of the Securities Exchange Act of 1934, February 1, 2013 |cSubmitted by: Brian V. Breheny|fBreheny, Brian V.|p2-235 970 11 |l65.|tShareholder Demands for Corporate Political Disclosure|cKeir D. Gumbs|fGumbs, Keir D.|p2-249 970 11 |l66.|tCovington Advisory/Securities: D.C. District Court Upholds SEC s Conflict Minerals Rule, July 24, 2013 |cSubmitted by: Keir D. Gumbs|fGumbs, Keir D.|p2-259 970 11 |l67.|tCovington Advisory/Securities: D.C. District Court Vacates SEC s Resource Extraction Payment Rule, July 3, 2013|cSubmitted by: Keir D. Gumbs|fGumbs, Keir D.|p2-265 970 11 |l68.|tCovington Advisory/Securities: Required Communications Between Auditors and Audit Committees, January 29, 2013|cSubmitted by: Keir D. Gumbs|fGumbs, Keir D.|p2-273 970 11 |l69.|tCovington Advisory/Securities: SEC Staff Issues Conflict Minerals FAQs, May 31, 2013|cSubmitted by: Keir D. Gumbs|fGumbs, Keir D.|p2-283 970 11 |l70.|tCovington E Alert/Election and Political Law, Securities Law STOCK Act Opens Up New Front for Insider Trading Cases, May 16, 2013|cSubmitted by: Keir D. Gumbs |fGumbs, Keir D.|p2-291 970 11 |l71.|tCovington E Alert: Securities SEC Endorses Social Media as Public Disclosure Channel, April 3, 2013 |cSubmitted by: Keir D. Gumbs|fGumbs, Keir D.|p2-297 970 11 |l72.|tRule 10b5 1 Trading Plans: Avoiding the Heat, Securities Regulation & Law Report, 45 SRLR 438, 3/11/2013 |cDavid B. H. Martin|fMartin, David B. H.|cKeir D. Gumbs |fGumbs, Keir D.|cDavid L. Kornblau|fKornblau, David L. |cMatthew C. Franker|fFranker, Matthew C.|cStephanie W. Bignon|fBignon, Stephanie W.|p2-303 970 11 |l73.|tPay Definitions: What Works Best in Pay for Performance Analysis, November 2012|cRobin Ferracone |fFerracone, Robin A.|cJack Zwingli|fZwingli, Jack|p2-313 970 11 |l74.|tPerformance Metrics and Their Link to Value, Summary Report, January 2013|cSubmitted by: Robin Ferracone|fFerracone, Robin A.|p2-345 970 11 |l75.|tAchieving Positive Outcomes, NACD Directorship September/October 2012|cSubmitted by: Robin Ferracone |fFerracone, Robin|p2-365 970 11 |l76.|tThe Continuing Validity of the Mosaic Theory as a Viable Defense to Insider Trading, August 30, 2013|cCarmen J. Lawrence|fLawrence, Carmen J. (Carmen Judith), 1956- |cNicole R. Love|fLove, Nicole R.|p2-373 970 11 |l77.|tOutline of Selected SEC Enforcement Actions, May 2013|cSubmitted by: Robert S Khuzami|fKhuzami, Robert S|p2 -403 970 11 |l78.|tSEC Press Release: SEC Announces Whistleblower Action, June 12, 2013|cSubmitted by: Robert S Khuzami |fKhuzami, Robert S|p2-445 970 11 |l79.|tSEC v. Falcone Et. Al., 12 CIV. 5027 and 5028 (PAC) ECF Case, (S.D.N.Y), Final Consent Judgment as to Defendants Philip A. Falcone; Harbinger Capital Partners LLC; Harbinger Capital Partners Offshore Manager, L.L.C.;and Harbinger Capital Partners SpecialSituations GP, L.L.C.|cSubmitted by: Robert S Khuzami|fKhuzami, Robert S |p2-449 970 11 |l80.|tDavid Woodcock and Margaret McGuire, SEC Financial Reporting and Audit Task Force, the Trusted Professional, August 21, 2013|cSubmitted by: Robert S Khuzami|fKhuzami, Robert S|p2-477 970 11 |l81.|tSEC Press Release: SEC Announces Enforcement Initiatives to Combat Financial Reporting and Microcap Fraud and Enhance Risk Analysis, July 2, 2013|cSubmitted by: Robert S Khuzami|fKhuzami, Robert S|p2-483 970 11 |l82.|tMorrison & Foerster Client Alert: Inside Baseball—SEC Enforcement Co-Chief Calls ‘Em Like He Sees ‘Em, June 19, 2013|cSubmitted by: Robert S Khuzami |fKhuzami, Robert S|p2-489 970 11 |l83.|tDefending Against the Government|cHerbert F. Janick, III|fJanick, Herbert F.|cIke Adams|fAdams, Ike|cNicole M. Brown|fBrown, Nicole M.|p2-497 970 11 |l84.|t Juggling Criminal, Civil and Multinational Investigations|cBruce E. Yannett|fYannett, Bruce E.|cErich O. Grosz|fGrosz, Erich O.|p2-519 970 11 |l85.|tArticles Prepared for the Spring 2013 Edition of Bernstein Litowitz Berger & Grossman’s Newsletter, the Advocate for Institutional Investors|cSubmitted by: Max W. Berger|fBerger, Max W.|p2-559 970 11 |l86.|t “Known Trends and Uncertainties”: Disclosure Obligations in Management’s Discussion and Analysis Under Item 303 of Regulation S-K|cSubmitted by: Charles S. Duggan|fDuggan, Charles S.|p2-569 970 11 |l87.|tThe Impact of Recent Supreme Court Decisions on Rule 23(b)(3)’s Predominance Requirement|cJonathan K. Youngwood|fYoungwood, Jonathan K.|cNihara K. Choudhri |fChoudhri, Nihara K.|cKelly A. Hodges|fHodges, Kelly A. |p2-603 970 11 |l88.|tCurrent Thoughts About Activism|cMartin Lipton |fLipton, Martin|cSteven A. Rosenblum|fRosenblum, Steven A.|cSebastian V. Niles|fNiles, Sebastian V.|p2-623 970 11 |l89.|tMergers and Acquisitions—2013|cAndrew R. Brownstein |fBrownstein, Andrew R.|cSteven A. Rosenblum|fRosenblum, Steven A.|cAdam O. Emmerich|fEmmerich, Adam O.|cMark Gordon|fGordon, Mark|cGordon S. Moodie|fMoodie, Gordon S. |cEitan Hoenig|fHoenig, Eitan|p2-631 970 11 |l90.|tRecent Decisions of Delaware Courts|cMark J. Gentile|fGentile, Mark J.|p2-641 970 11 |l91.|tNot Your Father’s Ethics Environment—Is There Increased Scrutiny of Lawyers? What Is the Truth and What Are the Consequences?|cGiovanni Prezioso|fPrezioso, Giovanni|p2-827 970 11 |l92.|tUpdate on the SEC’s Lawyer Disciplinary Program |cDixie L. Johnson|fJohnson, Dixie L.|cDavid D. Whipple |fWhipple, David D.|p2-925 970 11 |l93.|tFrequency of 102(e) Cases (By Six-Month Period) |cSubmitted by: Dixie L. Johnson|fJohnson, Dixie L. |p2- 933 970 11 |l94.|tZealous Advocacy and Offending the SEC: The SEC’s Lawyer Discipline Program, Insights, the Corporate & Securities Law Advisor, Volume 26, Number 10, October 2012 |cDixie L. Johnson|fJohnson, Dixie L.|cDavid D. Whipple |fWhipple, David D.|p2-937 970 11 |l95.|tEthical Dilemmas for Disclosure Lawyers: Summary of Selected SEC Cases Involving Disclosure Lawyers|cJohn F. Olson|fOlson, John F.|cAndrew Hirsch|fHirsch, Andrew|cMarc Collier|fCollier, Marc|cTaylor Hathaway-Zepeda|fHathaway- Zepeda, Taylor|p2-949 970 11 |l96.|tSummary of Recent SEC Actions and Private Suits Against Lawyers for Involvement in Capital Raises|cJohn F. Olson|fOlson, John F.|p2-963 970 11 |l97.|tSupplement of Selected Cases Against Lawyers for Involvement in Capital Raises|cJohn F. Olson|fOlson, John F.|p2-979 970 11 |l98.|tSelected Recent Developments in U.S. Securities Laws and Corporate Finance|cJohn F. Olson|fOlson, John F. |cJonathan C. Dickey|fDickey, Jonathan C.|cStephen I. Glover|fGlover, Stephen I.|cBrian J. Lane|fLane, Brian J. |cRonald O. Mueller|fMueller, Ronald O.|cAmy L. Goodman |fGoodman, Amy L.|cJames J. Moloney|fMoloney, James J. |cPaul J. Collins|fCollins, Paul J.|cGillian McPhee |fMcPhee, Gillian|cPeter W. Wardle|fWardle, Peter W.|cAri B. Lanin|fLanin, Ari B.|cElizabeth Ising|fIsing, Elizabeth |cMichael Scanlon|fScanlon, Michael|cDavid Lee|fLee, David |cAndrew Hirsch|fHirsch, Andrew|cMelissa Barshop|fBarshop, Melissa|p2-985 998 |cSRA
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