SEC Compliance Best Practices, 2010 Ed.

SEC Compliance Best Practices, 2010 Ed. pdf epub mobi txt 电子书 下载 2026

出版者:Thomson West
作者:Multiple Authors
出品人:
页数:276
译者:
出版时间:2010-03-01
价格:USD 100.00
装帧:Paperback
isbn号码:9780314926722
丛书系列:
图书标签:
  • Securities Law
  • Compliance
  • SEC
  • Corporate Governance
  • Financial Regulations
  • Investment Management
  • Legal Practice
  • Business Law
  • Accounting
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具体描述

SEC Compliance Best Practices provides an authoritative, insider's perspective on the latest compliance and governance initiatives and their effect on enforcement. Featuring partners from some of the nation's leading law firms, these experts analyze new legislative developments, proposed SEC reforms, and emerging compliance trends, and the impact these changes have on attorneys, clients, and compliance programs. These top lawyers also discuss the critical issues in today's volatile securities climate, such as executive compensation, Ponzi schemes, control person liability, proxy access rules, and the renewed emphasis on the Sarbanes-Oxley Act. Additionally, these leaders reveal their strategies for interacting with enforcement agencies, understanding the lawyer's role in compliance, and coping with the rapid pace of changing laws. The different niches represented and the breadth of perspectives presented enable readers to get inside some of the great legal minds of today, as these experienced lawyers offer up their thoughts around the keys to success within this ever-changing field. Inside the Minds provides readers with proven business intelligence from C-Level executives and lawyers (Chairman, CEO, CFO, CMO, Partner) from the world's most respected companies and firms nationwide. Each chapter is comparable to an essay/thought leadership piece and is a future-oriented look at where an industry, profession, or topic is heading and the most important issues for the future. Each author has been selected based upon their experience and C-level standing within the professional community. Chapters Include: 1. Patricia O. Lowry, Partner, Taft Stettinius & Hollister LLP - "Directors under Fire: Recent and Proposed SEC Regulations That Could Change the 2010 Annual Meeting Landscape"

2. Alan H. Aronson, Shareholder, Akerman Senterfitt - "Fundamental Strategies for Corporate Governance and Regulatory Compliance"

3. Michael K. Lowman, Partner, Jenner & Block LLP - "Recent Enforcement Trends Underscoring the Need for Corporate Compliance"

4. Gregory J. Nowak, Partner, Pepper Hamilton LLP - "Strategies for New SEC Compliance Requirements" 5. John Tishler, Partner, Sheppard, Mullin, Richter & Hampton LLP - "Coping with the Changing World of Corporate Governance and Securities Compliance"

6. Alan K. MacDonald, Member, Frost Brown Todd LLC - "Small Companies: The Less Traveled (and Sometimes Unexpected) Paths to Going Public"

7. John C. Kirkland, Partner, Luce Forward Hamilton & Scripps LLP - "Practical Approaches to Securities Compliance Issues" Appendices Include: Appendix A: Form of 2010 Directors and Officers Questionnaire

Appendix B: Form of Risk Management Committee Charter

Appendix C: ABC Political Contribution Policy

Appendix D: Memo on the Consequences of Acting as an

Unregistered Broker Dealer Appendix E: Corporate Governance and Securities Compliance Checklist

Appendix F: Insider Trading Policy

Appendix G: Questions and Answers on Restricted Securities and Rule 144

Appendix H: Audit Committee Charter

Appendix I: Code of Ethics

Appendix J: Compensation Committee Charter

Appendix K: Insider Trading Policy

Appendix L: Nominating Committee Charter

《SEC合规最佳实践:2010年版》旨在为投资者、企业高管、律师、会计师及其他金融专业人士提供一个全面、深入的框架,以理解和应对2010年版美国证券交易委员会(SEC)发布的各项监管要求和最佳实践。本书并非对SEC法规的简单罗列,而是侧重于指导读者如何在复杂的法律和监管环境中,采取切实可行的策略来确保公司合规经营,降低潜在的法律风险,并提升投资者信任度。 本书详尽地分析了在2010年这一特定时间节点,SEC关注的关键合规领域。这包括但不限于: 信息披露的准确性与及时性: 深入探讨了定期报告(如10-K、10-Q)和临时报告(如8-K)的起草要求,强调了财务报表披露的透明度、一致性和完整性。特别关注了对重大信息披露的界定,以及在快速变化的商业环境中如何保持信息披露的更新。 内部控制的健全性: 重点分析了《萨班斯-奥克斯利法案》(SOX)对公司内部控制设计和执行提出的要求,以及SEC对内部控制审计和报告的最新指导。本书将指导读者如何建立和维护有效的内部控制体系,以防范财务欺诈和报告错误。 公司治理的有效性: 阐述了在2010年,SEC对董事会构成、审计委员会职责、高管薪酬披露以及股东权益保护等方面的新兴关注点。本书旨在帮助企业优化公司治理结构,确保决策的透明度和责任制。 证券交易的合规性: 涵盖了公司内部人员(如董事、高级职员、重要员工)在交易公司股票时的合规要求,包括禁售期、信息披露窗口以及内幕交易的界定。此外,也可能涉及初步的公开发行(IPO)和后续发行中的合规考量。 反腐败与反洗钱(AML)的合规: 随着全球化进程的推进,SEC对企业在境外经营中的反腐败合规(如《反海外腐败法》FCPA)以及防范洗钱活动的关注度也在提升。本书会探讨企业如何建立相应的政策和程序来应对这些挑战。 新兴领域的合规考量: 2010年正值互联网和信息技术快速发展时期,本书可能还会涉及与电子化披露、网络安全相关的信息披露责任,以及在新的商业模式下如何确保合规。 本书的特点在于其实践导向。它不仅仅停留在理论层面,而是通过对SEC发布的一系列规则、指引、执法案例以及当时的行业最佳实践的解读,为读者提供具体的操作指南。读者将学习如何: 构建有效的合规计划: 如何根据自身公司的规模、业务性质和风险状况,设计和实施一套全面的合规管理体系。 进行风险评估与管理: 如何识别潜在的合规风险,并制定相应的控制措施来减轻这些风险。 应对SEC的问询与调查: 在收到SEC的问询时,如何准备回应,以及在面临调查时如何采取适当的行动。 培养合规文化: 如何在企业内部建立一种重视合规、人人有责的文化,从而从源头上预防违规行为。 《SEC合规最佳实践:2010年版》是理解特定历史时期SEC监管重点、为当时的市场参与者提供操作性指导的宝贵资源。它帮助企业在遵守法律法规的同时,优化运营效率,巩固市场信誉,并最终实现可持续发展。本书的价值在于其前瞻性和可操作性,它引导读者不仅仅是被动地遵守规定,更是主动地将合规融入企业战略,将其转化为竞争优势。

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