Institute on Securities Regulation offered Nov. 4-6

For more than 50 years, Practising Law Institute's Annual Institute on Securities Regulation has provided securities lawyers with keen analysis and timely insights into the critical issues facing securities law practitioners and this year is no different. The PLI 52nd Annual Institute on Securities Regulation live webcast will take place Wednesday through Friday, November 4-6.

Although the COVID-19 pandemic has forced the Institute to a live webcast-only format, Co-Chairs Carmen J. Lawrence of King & Spalding, Keith F. Higgins of Ropes & Gray LLP, and Meredith B. Cross of Wilmer, Cutler, Pickering, Hale, and Dorr LLP have still been hard at work planning a comprehensive, relevant, timely, and practical program. From developments in the capital markets to enforcement and securities litigation issues, to accounting and auditing, to Delaware law developments and so much more, the Institute will offer the critical information to function most effectively in the current business and regulatory environment.

The Institute added panels on:

  - Getting the Most Out of Your Proxy Statement
  - Recurring Disclosure Challenges
  - Luncheon Roundtable on Diversity and Inclusion in the Law led by Maja D. Hazell

Special Features include:

  - Keynote address by SEC Commissioner Allison Herren Lee
  - Observations from the SEC's Corp. Fin. Director and Deputy Director, and from the Enforcement Director

For updates on the agenda and faculty, visit www.pli.edu. Register via the event webpage or contact PLI at 800-260-4754 and provide the Priority Code BGE0-DB001 to register for the program by phone.

Published: Tue, Oct 27, 2020