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This committee focuses on national and international laws and regulations dealing with issuance of securities and regulation of capital markets activities. Issues include: laws relating to on-line information about issuers; securities issues relating to privatizations, including offering techniques, relationship between economic policy and legal structures for privatizations and the role of legal and financial advisors; regulatory matters concerning derivatives and hybrid securities; new requirements for foreign issuers in the U.S. related to the Sarbanes-Oxley Act; and SEC and other accounting standards for foreign issuers and cross-border private placements.
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2008 Financial Crisis: What Do We Need After the Financial Meltdown: The Invisible Hand of the Market or the Visible Hand of Regulation?
The recent worldwide financial crisis has raised fundamental questions about the wisdom of free market/laissez faire policies and the effectiveness of... more
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| | Section Events |
December 1, 2009
Location: TBD
Format: Multiple Formats
December 16, 2009
Location: TBD
Format: Multiple Formats
April 13, 2010 - April 17, 2010 Grand Hyatt New York New York,
NY
Format: Live/In-Person |
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