Corporate governance 2004 : preparing for the next wave of disclosure & board changes (Book, 2004) []
skip to content
Corporate governance 2004 : preparing for the next wave of disclosure & board changes Preview this item
ClosePreview this item

Corporate governance 2004 : preparing for the next wave of disclosure & board changes

Author: James R Doty; Practising Law Institute.
Publisher: New York, N.Y. (810 7th Ave., New York 10019) : Practising Law Institute, ©2004.
Series: Corporate law and practice course handbook series, no. 1411.
Edition/Format:   Print book : English

(not yet rated) 0 with reviews - Be the first.

More like this

Find a copy in the library

&AllPage.SpinnerRetrieving; Finding libraries that hold this item...


Document Type: Book
All Authors / Contributors: James R Doty; Practising Law Institute.
ISBN: 1402404026 9781402404023
OCLC Number: 54626421
Notes: "B0-0270"--Spine.
"Prepared for distribution at the Corporate Governance 2004: Preparing for the Next Wave of Disclosure & Board Changes program, February 2004"--Page 5.
Description: 1456 pages : illustrations ; 23 cm.
Contents: Sample 2004 NYSE Director and officer questionnaire / Kelly Rose, Kelly Buechler --
Whistleblowing: protection of corporate officials and employees who provide evidence of fraud under the Sarbanes-Oxley Act of 2002 / William R. McLucas, Mark M. Oh --
NYSE and NASDAQ Governance rules / David M. Becker --
Audit committees: new requirements / Gary J. Simon, Jan Woo --
Advising the Board of Directors / Connie Ball, Marilyn Sonnie, Christopher Burke, Steven Rininger, Jones Day --
PCAOB materials --
New SEC auditor independence rules: strengthening the commission's requirements regarding auditor independence / Hilary K. Krane --
PCAOB proposed standard-audit of internal control over financial reporting / Hilary K. Krane --
Disclosure of non-GAAP financial measures; regulation G and public disclosure; certain other disclosure developments / Charles E. Berg --
An issue-annotated version of the SOx rules for lawyer conduct [a work in progress] (January 2004) / Simon M. Lorne --
Reporting by lawyers of evidence of material violations / Meredith M. Brown --
Enhanced disclosure / David B. Harms --
Earnings releases reg G/form 8-K item 12 checklist / James G. Keane --
Short guide to CEO and CFO certifications and internal control reporting under the Sarbanes-Oxley Act / Kevin Keogh --
The emerging corporate governance model: responsibilities of management / John F. Olson, Barbara Hackman Franklin --
Public company CEO compensation: a review of the perceived problems and the legal remedies / Edmond Fitzgerald, Jason Pan, Jenny Dahlen --
Release no. 34-48626 (October 17, 2003) "Proposed rule: security holder director nominations --
Release no. 33-8340 (November 24, 2003) "Final rule: disclosure regarding nominating committee functions and communications between security holders and Boards of Directors" --
U.S. Department of Justice memorandum: principles of federal prosecution of business organization --
United States Attorneys' Bulletin: interview with United States Attorney James B. Comey regarding Department of Justice's policy on requesting corporations under criminal investigation to waive the attorney client privilege and work product protection --
SEC release 44969: report of investigation pursuant to section 21(a) of the Securities Exchange Act of 1934 --
Guidelines manual, chapter 8: sentencing of organizations --
Report of the Ad Hoc Advisory group on the organizational sentencing guidelines.
Series Title: Corporate law and practice course handbook series, no. 1411.
Responsibility: chair, James R. Doty.


User-contributed reviews
Retrieving GoodReads reviews...
Retrieving DOGObooks reviews...


Be the first.
Confirm this request

You may have already requested this item. Please select Ok if you would like to proceed with this request anyway.

Close Window

Please sign in to WorldCat 

Don't have an account? You can easily create a free account.