See Credit Details Below
Overview
Why You Should Attend:
Capital markets are adjusting to a wide range of evolving regulatory standards that affect the way in which offerings are conducted around the world. At the same time, issuers around the world are subject to changing accounting and corporate governance standards, while market participants navigate new ground with respect to investor expectations. Issuers and market participants also face an increasingly active global enforcement environment targeting activities taking place around the world. This program will provide an update on domestic and international regulatory and market developments, bringing together an engaging group of expert practitioners and senior regulators for an in-depth look at how the U.S. securities laws work in the context of a rapidly evolving global regulatory environment.
What You Will Learn:
After completing this program participants will be able to:
- Understand securities enforcement in an increasingly global regulatory environment
- Follow the latest developments with global regulatory efforts
- Recognize efforts to promote capital formation through private and public offerings
- Trace evolving accounting, disclosure and governance standards for issuers
- Track current developments with private and public offering practices
- Spot ethical issues in a complex cross-border environment
Who Should Attend:
This program is aimed at in-house attorneys, outside counsel and other professionals involved in securities regulation and capital markets.
Special Features: Earn up to one full hour of Ethics credit
Program Level: Introductory, Intermediate, Advanced
Prerequisites: In-house attorneys, outside counsel and other professionals involved in securities regulation and capital markets will benefit from this program.
Advanced Preparation: None