Coverart for item
The Resource 22nd annual institute on securities regulation : corporate finance, markets, governance, mergers and acquisitions, legislation, edited by Harvey L. Pitt, Charles M. Nathan, Stephen R. Volk

22nd annual institute on securities regulation : corporate finance, markets, governance, mergers and acquisitions, legislation, edited by Harvey L. Pitt, Charles M. Nathan, Stephen R. Volk

Label
22nd annual institute on securities regulation : corporate finance, markets, governance, mergers and acquisitions, legislation
Title
22nd annual institute on securities regulation
Title remainder
corporate finance, markets, governance, mergers and acquisitions, legislation
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
1990
http://bibfra.me/vocab/lite/meetingName
Institute on Securities Regulation
Nature of contents
bibliography
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
22nd annual institute on securities regulation : corporate finance, markets, governance, mergers and acquisitions, legislation, edited by Harvey L. Pitt, Charles M. Nathan, Stephen R. Volk
Instantiates
Publication
Note
  • "Date of publication: October 1991."
  • Includes bibliographical references and index
  • "B2-1335."
Carrier category
volume
Carrier category code
  • nc
Carrier MARC source
rdacarrier
Content category
text
Content type code
  • txt
Content type MARC source
rdacontent
Contents
  • pt. I. Topics in corporate finance. ch. 1. Introduction to rule 144A / Edward F. Greene -- ch. 2. Structuring a private placement / Daniel Dunson -- ch. 3. Implementing cross-border acquisitions / Meredith M. Brown and Simon MacLachlan -- pt. II. Developments in securities markets. ch. 4. Asset-based securities / Gregory M. Shaw --
  • pt. III. Corporate governance in the 1990s. ch. 5. What is happening in the marketplace? / Robert S. Salomon, Jr. -- ch. 6. The increasing militancy of the institutional investor / Karen Stevenson -- ch. 7. Proxy reform / Robert D. Rosenbaum -- ch. 8. Implications of institutional investors' activism / Ira M. Millstein -- ch. 9. Counseling lawyers on corporate boards of directors / James H. Cheek, III --
  • pt. IV. Mergers and acquisitions. ch. 10. Investment bankers and practitioners / Willard Overlock and Arthur Fleischer, Jr. -- ch. 11. The regulatory perspective / James Doty -- ch. 12. New structures of the 1990s / Stephen Fraidin -- ch. 13. Developments on defense / Patricia A. Vlahakis -- ch. 14. State legislative and judicial developments / Dennis S. Hersch -- ch. 15. Developments on offense / Philippe Dauman -- ch. 16. Basic strategies of proxy contests / David J. Friedman and Donald G. Kempf, Jr. -- ch. 17. Practicalities of proxy contests / A. Gilchrist Sparks, III --
  • pt. V. Legislation and enforcement. ch. 18. The Investment Company Act of 1940 / Richard M. Phillips and Marianne Smythe -- ch. 19. The Securities Law Enforcement Remedies Act of 1990 / Anne C. Flannery, Theodore A. Levine, Aulana L. Peters, and William R. McLucas
Dimensions
24 cm
Extent
xix, 340 pages
Isbn
9780872240377
Media category
unmediated
Media MARC source
rdamedia
Media type code
  • n
System control number
94-B2278
Label
22nd annual institute on securities regulation : corporate finance, markets, governance, mergers and acquisitions, legislation, edited by Harvey L. Pitt, Charles M. Nathan, Stephen R. Volk
Publication
Note
  • "Date of publication: October 1991."
  • Includes bibliographical references and index
  • "B2-1335."
Carrier category
volume
Carrier category code
  • nc
Carrier MARC source
rdacarrier
Content category
text
Content type code
  • txt
Content type MARC source
rdacontent
Contents
  • pt. I. Topics in corporate finance. ch. 1. Introduction to rule 144A / Edward F. Greene -- ch. 2. Structuring a private placement / Daniel Dunson -- ch. 3. Implementing cross-border acquisitions / Meredith M. Brown and Simon MacLachlan -- pt. II. Developments in securities markets. ch. 4. Asset-based securities / Gregory M. Shaw --
  • pt. III. Corporate governance in the 1990s. ch. 5. What is happening in the marketplace? / Robert S. Salomon, Jr. -- ch. 6. The increasing militancy of the institutional investor / Karen Stevenson -- ch. 7. Proxy reform / Robert D. Rosenbaum -- ch. 8. Implications of institutional investors' activism / Ira M. Millstein -- ch. 9. Counseling lawyers on corporate boards of directors / James H. Cheek, III --
  • pt. IV. Mergers and acquisitions. ch. 10. Investment bankers and practitioners / Willard Overlock and Arthur Fleischer, Jr. -- ch. 11. The regulatory perspective / James Doty -- ch. 12. New structures of the 1990s / Stephen Fraidin -- ch. 13. Developments on defense / Patricia A. Vlahakis -- ch. 14. State legislative and judicial developments / Dennis S. Hersch -- ch. 15. Developments on offense / Philippe Dauman -- ch. 16. Basic strategies of proxy contests / David J. Friedman and Donald G. Kempf, Jr. -- ch. 17. Practicalities of proxy contests / A. Gilchrist Sparks, III --
  • pt. V. Legislation and enforcement. ch. 18. The Investment Company Act of 1940 / Richard M. Phillips and Marianne Smythe -- ch. 19. The Securities Law Enforcement Remedies Act of 1990 / Anne C. Flannery, Theodore A. Levine, Aulana L. Peters, and William R. McLucas
Dimensions
24 cm
Extent
xix, 340 pages
Isbn
9780872240377
Media category
unmediated
Media MARC source
rdamedia
Media type code
  • n
System control number
94-B2278

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      39.954941 -75.193362
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