Securities Practice and Electronic Technology

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Securities Practice and Electronic Technology provides complete, practical, hands-on guidance to the legal and regulatory developments spurred by the online revolution.

Securities Practice and Electronic Technology provides complete, practical, hands-on guidance to the legal and regulatory developments spurred by the online revolution. You'll get coverage of the impact on all major securities laws and regulations, plus step-by-step advice on electronic delivery of information to investors, establishing corporate and broker-dealer Web sites, the use of electronic advertising and sales literature, and many other issues.

Securities Practice and Electronic Technology provides unique advice and perspective on how to use the Internet, extranets and other new media when dealing with clients. Other topics include: corporate disclosure and capital formation; electronic offering circulars; electronic roadshows; exempt offerings; shareholder communications; creating, developing and maintaining a corporate Web site; informed consent; overseas investing; security and encryption; alternative trading systems; intellectual property issues; electronic storage requirements under E-Sign; and uniform electronic communications policy.

Book #00647; looseleaf, one volume, 1,220 pages; published in 1998, updated as needed; no additional charge for updates during your subscription. Looseleaf print subscribers receive supplements. The online edition is updated automatically. ISBN: 978-1-58852-084-5

Additional Information
Division Name Law Journal Press
Volumes 1
Product Types Books
Brand Law Journal Press
Jurisdiction National
ISBN 978-1-58852-084-5
Page Count 1220
Edition 0
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James B. Carlson
James B. Carlson is a Partner of Mayer Brown's New York office and he represents buyers, sellers and management in complex leveraged buy-outs and acquisitions.  He is an Adjunct Professor of Law in Securities Regulation at New York University School of Law and has written extensively on corporate finance and investment banking.
John R. Hewitt
John R. Hewitt is a Director in Gibbons PC in its New York office. A former First Vice-President/Associate General Counsel with Shearson/Lehman Brothers, Mr. Hewitt has served as a Senior Counsel with the Division of Enforcement of the U.S. Securities and Exchange Commission and as an Assistant Attorney General in Ohio counseling the Ohio Division of Securities. Mr. Hewitt is the 1998 recipient of the Financial Netnews Internet Compliance Person of the Year Award, and is also a member of the editorial board of eSecurities. He has written and spoken extensively in this field and regularly advises many of the country's largest wire houses and investment banks, as well as leading discount brokers.

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