42nd Annual Rocky Mountain Securities Conference Out of Stock

 

  Quantity

 

 

May 2010
 
42nd Annual Rocky Mountain Securities Conference
   
Program Description
 
The 2010 Conference brings you SEC and regional enforcement authorities discussing national developments; corporate governance issues; best defense practices in this volatile time of changing market conditions, and much, much more!
 
The 42nd Annual Rocky Mountain Securities Conference provides a line up of presenters who are well known throughout the securities profession and whose observations have earned the respect and attention of the investment community.
 
 
 
Topics
 
Introduction of Commissioner Elisse Walter
Donald M. Hoerl, Regional Director, Denver Regional Office
Securities and Exchange Commission
 
Keynote Presentation: The SEC and the Future of The Markets and Investor Protection
Presented by:
Commissioner Elisse B. Walter, Securities and Exchange Commission
Response by:
Professor Jay Brown, Professor of Law, University of Denver, Sturm College of Law
 
Enforcement: A New Structure to Match a New Strategy?
Panel:
- Lorin L. Reisner, Deputy Director, Division of Enforcement, Securities and Exchange Commission
- Stephen Luparello, Vice Chairman, FINRA
- Fred Joseph, Commissioner, Colorado Division of Securities
- Julie Lutz, Associate Regional Director, Enforcement, Denver Regional Office, Securities and Exchange Commission
Moderated by:
- Donald M. Hoerl, Regional Director, Denver Regional Office, Securities and Exchange Commission
 
What are Respondents and Their Counsel to Do? Best Defense Practices in a Challenging Enforcement Environment
Panel:
- Daniel F. Shea, Hogan & Hartson, LLP
- Randall Fons, Morrison & Foerster, LLP
- David A. Zisser, Davis Graham & Stubbs, LLP
Moderated by:
- George B. Curtis, Gibson, Dunn & Crutcher, LLP
 
Auditors and Accountants in an Age of Systemic Risk: Current and Future Challenges
Panel:
- Charles D. Niemeier, Board Member, Public Company Accounting Oversight Board
- Paul Beswick, Deputy Chief Accountant, Office of the Chief Accountant, Securities and Exchange Commission
- Dennis Horner, Deloitte National Professional Practice Director, Deloitte & Touche LLP
 Moderated by:
- Lynn E. Turner, Board Member, Colorado Public Employees Retirement Association, and former Chief Accountant of the SEC
 
Mutual Funds, Broker Dealers and Investment Advisers: Risks and Approaches to a Changing Market Place
 Panel:
- Carlo di Florio, Director, Office of Compliance Inspections and Examinations, Securities and Exchange Commission
- John McDermott, Browstein Hyatt Farber Schreck LLP
- Steven W. Stone, Morgan, Lewis & Bockius LLP
Moderated by:
- Kevin W. Goodman, Associate Regional Director, Regulation, Securities and Exchange Commission
  
Swimming in Unchartered Waters: Ethics and the Life of the Lawyer in the Current Markets
Presented by:
- Harvey Pitt, Former SEC Chairman, CEO, Kalorama Partners LLC
  Introduction of Former Chairman Pitt
- Robert Davenport, Jones & Keller, PC, Of Counsel, Former Regional Director,Securities and Exchange Commission
 
Corporate Finance, Shareholder Democracy, Naked Trading, Proxy Access, and Other Simple Issues
Panel:
- Shelley Parratt, Deputy Director, Division of Corporation Finance, Security and Exchange Commission
- Scott A. Berdan, Holland & Hart LLP
- Jeffrey A.  Sherman, Holland & Hart LLP
Moderated by:
- Reid A. Godbolt, Jones & Keller P.C.
 
What's a Board to Do?  Practical Steps Toward Maintaining Business, Management and Sanity
Panel:
- Cathy S. Krendl, Krendl Krendl Sachnoff & Way, P.C.
- Josiah O. Hatch, Ducker, Montgomery, Aronstein & Bess, P.C.
- James Doty, Baker Botts LLP, Former SEC General Counsel
Moderated by:
- John F. Olson, Gibson, Dunn & Crutcher, LLP
 
Who Can Think of Ethics at a Time Like This?
Panel:
- Stanley J. Sporkin, Office of Federal Housing Enterprise Oversight
- John F. Olson, Gibson, Dunn & Crutcher, LLP
- James Doty, Baker Botts LLP, Former SEC General Counsel
 
Financial Innovation in Distressed Markets: Approaches and Cautions
Presented by:
-  Henry Hu, Director, Division of Risk, Strategy, and Financial Innovation, Securities and Exchange Commission
Response by:
- John F. Olson, Gibson, Dunn & Crutcher, LLP
- Cathy S. Krendl, Krendl Krendl Sachnoff & Way, P.C.
 
 
  •   CLE Pass Price
    *FREE! - exclusions may apply
  •   Standard Price
    $159.00 USD
  •   Member Price
    $129.00 USD
  •   General Credits
  •   Ethics Credits
  •   EDI Credits
Live Seminar Date
5/7/2010
Expiration Date
12/31/2014
Non-Member Price
$159.00 USD
Member Price
$129.00 USD
Product Code
BL050710C
RELATED PRODUCTS