SEC Compliance Best Practices, 2013 ed.: Leading Lawyers on Understanding New Regulations and Developing Compliance Strategies (Inside the Minds)
Book Details
Description
Inside the Minds provides readers with proven business and legal intelligence from leading C-Level executives and lawyers. Each chapter offers thought leadership and expert analysis on an industry, profession, or topic, providing a future-oriented perspective and proven strategies for success. Each author has been selected based on their experience and C-Level standing within the business and legal communities.
Chapters Include:
1. Heather L. Traeger, Partner, O'Melveny & Myers LLP - "Understanding and Complying with New SEC Rules and Regimes"
2. Matthew G. Nielsen, Partner, Andrews Kurth LLP - "A New World in SEC Compliance and the Fundamentals to Face the Challenges"
3. Steven Khadavi, Partner, Dorsey & Whitney LLP - "The Additional Burdens of New Legislation on Businesses"
4. Bridget M. Moore, Partner, Baker Botts LLP - "Creating Effective FCPA Compliance Programs: An Overview"
5. Manuel G. Rivera, Senior Counsel, Norton Rose Fulbright - "Staying Ahead of the Curve in Complying with Current and Anticipated Securities Regulations"
Appendices Include:
Appendix A: Release No. 468, Release No. ID - 468, 2012 WL 4044882 (S.E.C. Release No.)
Appendix B: 17 C.F.R. § 275.204-4
Appendix C: 17 C.F.R. § 275.204(b)-1
Appendix D: FINRA Manual Rule 3130
Appendix E: 17 C.F.R. § 275.206(4)-7
Appendix F: Release No. 67934, Release No. 34-67934, 2012 WL 4459317










