Coverart for item
The Resource 21st annual institute on securities regulation : internationalization, hybrid securities, corporate governance, Europe 1992, thrifts, edited by Harvey L. Pitt, Charles M. Nathan, Stephen R. Volk

21st annual institute on securities regulation : internationalization, hybrid securities, corporate governance, Europe 1992, thrifts, edited by Harvey L. Pitt, Charles M. Nathan, Stephen R. Volk

Label
21st annual institute on securities regulation : internationalization, hybrid securities, corporate governance, Europe 1992, thrifts
Title
21st annual institute on securities regulation
Title remainder
internationalization, hybrid securities, corporate governance, Europe 1992, thrifts
Statement of responsibility
edited by Harvey L. Pitt, Charles M. Nathan, Stephen R. Volk
Creator
Contributor
Subject
Genre
Language
eng
Related
Cataloging source
PU-L
Index
index present
Literary form
non fiction
http://bibfra.me/vocab/lite/meetingDate
1989
http://bibfra.me/vocab/lite/meetingName
Institute on Securities Regulation
http://library.link/vocab/relatedWorkOrContributorName
  • Pitt, Harvey L
  • Nathan, Charles M
  • Volk, Stephen R
  • Practising Law Institute
http://library.link/vocab/subjectName
  • Securities
  • Consolidation and merger of corporations
  • Insider trading in securities
Label
21st annual institute on securities regulation : internationalization, hybrid securities, corporate governance, Europe 1992, thrifts, edited by Harvey L. Pitt, Charles M. Nathan, Stephen R. Volk
Instantiates
Publication
Note
  • "Date of publication: June 1990."
  • Includes index
  • "B2-1329."
Carrier category
volume
Carrier category code
nc
Carrier MARC source
rdacarrier
Content category
text
Content type code
txt
Content type MARC source
rdacontent
Contents
  • ch. 1. Reproposed SEC rule 144A / Edward F. Greene -- ch. 2. Hybrid and synthetic securities / Raymond W. Wagner -- ch. 3. Developments in SEC disclosure requirements / Jean W. Gleason and Glen L. Davison -- ch. 4. The impact of ITSFEA / Richard M. Phillips and Theodore A. Levine -- ch. 5. What corporate lawyers should know about commodity futures law / Howard Schneider and Mary L. Schapiro -- ch. 6. New directions for financial institutions after FIRREA / Richard K. Kneipper -- ch. 7. Bank/thrift consolidation and bank securities activities / H. Rodgin Cohen -- ch. 8. SEC proposals under sections 16(a) and 16(b) / Elisse B. Walter and Peter J. Romeo --
  • ch. 9. Developments on the offense / Jean E. Hanson and Stephen E. Jacobs -- ch. 10. Developments on defense / Jack H. Nusbaum and Patricia A. Vlahakis -- ch. 11. 1992 : what is going on in Europe ; how does it affect United States companies and their legal advisors? / Herbert M. Lobl -- ch. 12. Changing regulatory and legislative responses to mergers and acquisitions / A.A. Sommer, Jr. --
  • ch. 13. Employee stock ownership plans / Linda E. Rappaport and Mario L. Baeza -- ch. 14. Mergers and acquisitions absent conflicts of interest / Andrew G.T. Moore, II, Robert A. Kindler, and E. Norman Veasey -- ch. 15. Developing meaningful board procedures / Jean Allard and Elmer W. Johnson -- ch. 16. Corporate governance in mergers and acquisitions / James C. Freund and A. Gilchrist Sparks, III -- ch. 17. Special committees for litigation and investigation / Charles F.C. Ruff and James H. Cheek, III
Dimensions
24 cm
Extent
xxviii, 393 pages
Isbn
9780872240117
Media category
unmediated
Media MARC source
rdamedia
Media type code
n
System control number
94-B2277
Label
21st annual institute on securities regulation : internationalization, hybrid securities, corporate governance, Europe 1992, thrifts, edited by Harvey L. Pitt, Charles M. Nathan, Stephen R. Volk
Publication
Note
  • "Date of publication: June 1990."
  • Includes index
  • "B2-1329."
Carrier category
volume
Carrier category code
nc
Carrier MARC source
rdacarrier
Content category
text
Content type code
txt
Content type MARC source
rdacontent
Contents
  • ch. 1. Reproposed SEC rule 144A / Edward F. Greene -- ch. 2. Hybrid and synthetic securities / Raymond W. Wagner -- ch. 3. Developments in SEC disclosure requirements / Jean W. Gleason and Glen L. Davison -- ch. 4. The impact of ITSFEA / Richard M. Phillips and Theodore A. Levine -- ch. 5. What corporate lawyers should know about commodity futures law / Howard Schneider and Mary L. Schapiro -- ch. 6. New directions for financial institutions after FIRREA / Richard K. Kneipper -- ch. 7. Bank/thrift consolidation and bank securities activities / H. Rodgin Cohen -- ch. 8. SEC proposals under sections 16(a) and 16(b) / Elisse B. Walter and Peter J. Romeo --
  • ch. 9. Developments on the offense / Jean E. Hanson and Stephen E. Jacobs -- ch. 10. Developments on defense / Jack H. Nusbaum and Patricia A. Vlahakis -- ch. 11. 1992 : what is going on in Europe ; how does it affect United States companies and their legal advisors? / Herbert M. Lobl -- ch. 12. Changing regulatory and legislative responses to mergers and acquisitions / A.A. Sommer, Jr. --
  • ch. 13. Employee stock ownership plans / Linda E. Rappaport and Mario L. Baeza -- ch. 14. Mergers and acquisitions absent conflicts of interest / Andrew G.T. Moore, II, Robert A. Kindler, and E. Norman Veasey -- ch. 15. Developing meaningful board procedures / Jean Allard and Elmer W. Johnson -- ch. 16. Corporate governance in mergers and acquisitions / James C. Freund and A. Gilchrist Sparks, III -- ch. 17. Special committees for litigation and investigation / Charles F.C. Ruff and James H. Cheek, III
Dimensions
24 cm
Extent
xxviii, 393 pages
Isbn
9780872240117
Media category
unmediated
Media MARC source
rdamedia
Media type code
n
System control number
94-B2277

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