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Regulation of Securities: SEC Answer Book, 5th Edition (1-year Online Subscription)

Regulation of Securities: SEC Answer Book, 5th Edition (1-year Online Subscription)

  • 作者:
  • 出版商: Wolters Kluwer Legal & Regulatory U.S. (Online)
  • ISBN: 10071641
  • 出版时间 Subscription-type (Contents updated periodically)
  • 规格: Online , 1396 pages
  • 适应领域: U.S. ? 免责申明:
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  • 描述 
  • 大纲 
  • 详细

    Regulation of Securities: SEC Answer Book, Fifth Edition, is your complete guide to understanding and complying with the day-to-day requirements of the federal securities laws that concern all publicly traded companies and market participants. Whether you are a lawyer, accountant, officer, director, compliance official, broker-dealer, investment adviser, or investor, you will find helpful answers to most regulatory questions you are likely to encounter—in readable, plain English. The convenient Q&A format is ideal for beginners seeking a general understanding of a topic, as well as seasoned professionals grappling with critical issues. Twice-yearly supplements enhance the value and utility of this treatise, now in its 21st year, and maintain its standing as a core holding for every securities and corporate governance library.

  • List of Questions

    Chapter 1
    Understanding Securities Regulation

    • Federal Securities Laws
    • Definition of Security
    • Securities Act of 1933
    • Securities Act—Liability
    • Securities Exchange Act of 1934
    • Securities Exchange Act—Liability
    • Securities and Exchange Commission
    • SEC Rulemaking
    • No-Action Letters
    • Securities Industry & Self-Regulation
    • Securities Industry—SEC Examination
    • Security-Based Swap Markets
    • Public Company Accounting Oversight Board (PCAOB)

    Chapter 2
    Going Public

    • Introduction
    • Pros & Cons of Going Public
    • Selecting an Underwriter and Advisors
    • Preparing the Registration Statement
    • SEC Review and Comment
    • Listing on an Exchange
    • Blue Sky and FINRA Clearance
    • Pre-IPO Communications Restrictions
    • Preliminary Prospectus & Free Writing Prospectus
    • Marketing the IPO
    • Closing the IPO

    Chapter 3
    Exemptions from Securities Act Registration

    • Introduction
    • Exempt Securities
    • Exempt Transactions Generally
    • Intrastate Offering Exemption
    • Private Offering Exemption
    • Regulation A Exemptions
    • Regulation D Exemptions
    • Crowdfunding Exemption
    • Integration Doctrine
    • Resales of Restricted Securities
    • PIPE Transactions

    Chapter 4
    Electronic Filing

    • Introduction
    • Electronic Filing—Basics
    • Hardship Exemptions
    • Preparing Electronic Submissions
    • Modular Submissions & Segmented Filings
    • XBRL
    • Interactive Data

    Chapter 5
    Periodic Reports

    • Introducing Exchange Act Reporting
    • Integrated Disclosure System
    • Disclosure Controls & Procedures
    • Annual Report: Form 10-K
    • Quarterly Report: Form 10-Q
    • Distribution Report: Form 10-D
    • Section 302 Certification
    • Section 906 Certification
    • Accelerated Filing for Larger Companies
    • Current Report: Form 8-K
    • Transition Report
    • Amendments
    • Duty to Update
    • Confidential Treatment
    • Enforcement
    • FCPA Accounting Provisions

    Chapter 5A
    Financial Statements

    • Understanding Financial Statements
    • GAAP & the FASB
    • Balance Sheet
    • Income Statement
    • Statement of Cash Flows
    • Footnotes & MD&A
    • Earnings Release & Conference Call
    • Earnings Guidance
    • Independent Audit
    • Audit Report
    • Financial Restatement
    • SEC Investigation & Enforcement
    • Compensation Forfeiture (Clawback)

    Chapter 6
    Disclosure Items

    • Introduction
    • Using Plain English
    • Non-GAAP Financial Measures—Item 10(e)
    • Performance Graph—Item 201(e)
    • Management’s Discussion & Analysis—Item 303
    • MD&A for Off-Balance Sheet Arrangements—Item 303(a) or (c)
    • Changes In & Disagreements With Accountants—Item 304
    • Market Risk of Owning Derivatives—Item 305
    • Internal Control over Financial Reporting (SOX 404)—Item 308
    • Executive Compensation—Item 402
    • Security Holdings of Beneficial Owners—Item 403
    • Related Person Transactions—Item 404
    • Insider Reporting Delinquencies—Item 405
    • Code of Ethics—Item 406
    • Corporate Governance—Item 407
    • Risk Factor Disclosure—Item 503(c)
    • Exhibits—Item 601
    • Environmental Disclosure
    • Cybersecurity
    • Corporate Political Spending
    • Specialized Corporate Disclosure
    • Scaled Disclosure for Smaller Reporting Companies

    Chapter 7
    Beneficial Ownership Reports: Sections 13(d) & 13(g)

    • Overview
    • Subject Securities
    • Beneficial Ownership
    • Acquisition of Securities
    • Formation of a Group
    • Schedule 13D
    • Schedule 13G
    • Amendments
    • Enforcement

    Chapter 8
    Insider Reports: Section 16(a)

    • Introduction
    • How & When to Report
    • Electronic Filing & Website Posting
    • Joint & Group Reporting
    • Enforcement
    • Officers and Directors
    • Beneficial Owners
    • Trusts & Trustees
    • Derivative Securities
    • Equity Swaps
    • Issuer Disclosure of Reporting Delinquencies—Item 405

    Chapter 9
    Short-Swing Profits: Section 16(b)

    • Understanding Section 16(b)
    • Six-Month Period
    • Purchase & Sale
    • Standing to Sue
    • Statute of Limitations
    • Calculating Profits
    • Indemnification or Tax Deduction for Profits Disgorged
    • Exemptions
    • Short-Selling Prohibition: Section 16(c)
    • Insider Trades During Pension Plan Blackouts

    Chapter 10
    Audit Committee

    • Overview
    • Administering the Accounting Engagement
    • Proxy Statement Disclosure
    • Pre-Filing Review of Quarterly Financials
    • Auditor Required Communications with Audit Committee
    • Financial Expert Disclosure
    • Up-the-Ladder Reporting
    • False Statements to Accountants or Auditors
    • Improper Influence on Conduct of Audits
    • Listed Companies’ Audit Committees: Rule 10A-3
    • Overseeing the Internal Audit
    • Liability
    • Whistleblower Protections
    • PCAOB Inspections & the Audit Committee

    Chapter 11
    Executive Compensation

    • Introduction
    • Compensation Committee
    • Say-on-Pay Vote
    • Say-on-Frequency Vote
    • Golden Parachute Vote
    • Pay vs. Performance
    • Pay Ratio Disclosure
    • Hedging by Employees & Directors
    • Compensation Clawbacks
    • Compensation Restrictions for Covered Financial Institutions
    • Broker Discretionary Voting

    Chapter 12
    Proxies

    • Understanding Proxy Regulation
    • Proxy Defined
    • Solicitation Defined
    • Exempt Solicitations
    • Proxy Statement—Schedule 14A
    • Information Statement—Schedule 14C
    • Proxy Card
    • Annual Report to Security Holders
    • Filing Proxy Materials with the SEC
    • Delivering Proxy Materials to Shareholders
    • Shareholder List
    • Proxy Access
    • Solicitation Before Furnishing Proxy Statement
    • Auditor Independence Disclosure
    • Shareholder Communications with Directors
    • Proxy Advisors
    • Antifraud

    Chapter 13
    Shareholder Proposals

    • Introduction
    • Eligibility to Submit a Proposal
    • Procedure for Submitting a Proposal
    • Substantive Grounds for Excluding a Proposal
    • Procedure for Excluding a Proposal
    • Enforcement

    Chapter 14
    Tender Offers

    • Overview
    • Tender Offer Defined
    • Commencement
    • Early Commencement for Exchange Offers
    • Pre-Commencement Communications
    • Preparing & Filing Schedule TO
    • Disseminating Schedule TO Information to Security Holders
    • Security Holder Protections
    • Subsequent Offering Period
    • All Holders/Best Price Rules
    • Disclosure by the Target—Schedule 14D-9
    • Issuer Repurchases & Tender Offers
    • Antifraud
    • Inside Information
    • Cross-Border Transactions
    • Mini-Tender Offers
    • Five Business Day Debt Tender Offers
    • State Regulation

    Chapter 15
    Going Private: Rule 13e-3

    • Overview
    • Sarbanes-Oxley & Going Private
    • Scope of Rule 13e-3
    • Subject Persons
    • Exceptions to Rule 13e-3
    • Schedule 13E-3
    • Fairness Disclosure
    • Disclosure to Security Holders
    • Dissemination
    • Liability

    Chapter 16
    Resales of Restricted Securities: Rule 144

    • Understanding Rule 144
    • Affiliate
    • Person
    • Restricted Securities
    • Debt Securities
    • Conditions to be Met
    • Current Public Information
    • Holding Period for Restricted Securities
    • Limitation on Amount of Securities Sold
    • Manner of Sale
    • Form 144—Notice of Proposed Sale
    • Securities of Shell Companies
    • Rule 145—Business Combination Transactions

    Chapter 17
    Resales to Institutional Investors: Rule 144A

    • Introducing Rule 144A
    • Interaction with Other Exemptions
    • Eligible Securities
    • Eligible Buyers
    • Information Requirement
    • Notice to Buyer
    • Liability
    • Relation to State Law
    • PORTAL Market
    • Rule 144A Equity Offerings

    Chapter 18
    Corporate Website

    • Overview
    • Format & Readability
    • Document Delivery
    • Access Equals Delivery
    • Proxy Materials
    • Regulation FD Considerations
    • Electronic Shareholder Forums
    • Offshore Transactions
    • Website Interactive Data
    • Liability

    Chapter 19
    Securities Fraud

    • Understanding Rule 10b-5
    • Materiality
    • Scienter
    • In Connection with Purchase or Sale
    • Presumptions of Reliance
    • Loss Causation & Economic Loss
    • Statute of Limitations
    • Multiple Defendants
    • Contribution & Indemnification
    • Forward-Looking Statements
    • Stock Buybacks—Rule 10b-18
    • Liability for Analysts’ Statements
    • Selective Disclosure—Regulation FD
    • Regulation FD Enforcement
    • Non-GAAP Financial Measures—Regulation G

    Chapter 20
    Insider Trading

    • Overview
    • Material Nonpublic Information
    • Classical Theory
    • Misappropriation Theory
    • Tipper & Tippee Liability
    • Rule 10b5-1(c) Trading Plans
    • High-Frequency Trading
    • Enforcement
    • Penalties
    • Insider Trading by Federal Officials

    Chapter 21
    Whistleblower Awards

    • Overview
    • Definitions
    • Award Payment
    • Eligibility
    • Submitting Original Information
    • Confidentiality of Submissions
    • Claiming an Award
    • Appeals
    • Anti-Retaliation Protection
    • Acts That Impede Whistleblowing

    Chapter 22
    Securities Litigation & Enforcement

    • Introduction
    • SEC Investigations
    • Wells Process
    • Cooperating with the SEC
    • SEC Administrative Proceedings
    • SEC Injunctive Actions in Federal Court
    • Criminal Prosecution
    • Corporate Criminal Liability
    • Corporate Compliance Program
    • Asserting the Fifth Amendment
    • Search & Seizure
    • Derivative Actions
    • Securities Class Actions
    • Shareholder Litigation Involving Mergers & Acquisitions
    • SEC as Defendant

    Chapter 23
    Broker-Dealers

    • Introduction
    • Definitions of Broker/Dealer
    • SEC Registration
    • Forms BD & BDW
    • FINRA Membership
    • SIPC Membership
    • State Requirements
    • Financial Responsibility
    • Duty to Supervise
    • Antifraud
    • Anti-Money Laundering
    • Market Manipulation
    • Large Traders
    • Examination
    • Discipline
    • Arbitration

    Chapter 24
    Investment Advisers

    • Introduction
    • Definition of Investment Adviser
    • Family Office
    • Registration
    • Exemptions from Registration
    • Form ADV
    • Antifraud
    • Fiduciary Duty
    • Performance Compensation
    • Supervision, Compliance & Recordkeeping
    • Anti-Money Laundering
    • Form PF
    • Examination & Enforcement
    • Municipal Advisors

    Table of Cases

    Index

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