PLI Seminar: Global Capital Markets and the U.S. Securities Laws 2011: Strategies for the Changing Regulatory Environment

04/25/2011 09:00 a.m. - 05:00 p.m.

Corporate Finance | Capital Markets and Financial Institutions + Financial Services

PLI New York Center
810 Seventh Avenue (21st floor)
New York, NY 10019

David M. Lynn

David M. Lynn

Speaking Engagement

Christie Adams
(212) 336-4024

This program will keep securities lawyers up-to-date on international regulatory and market developments, bringing together a lively mix of expert practitioners and senior regulators for an in-depth look at how the U.S. securities laws work in a global context and the new environment of domestic and international financial reform.

What you will learn
Some of the areas this year’s program will cover are:

  • How new legislation affects reporting requirements and methods of doing business
  • The SEC’s international agenda
  • The Dodd-Frank Act and its impact on global capital markets
  • Global regulation of alternative investment vehicles and derivatives


  • David Lynn, Partner, Morrison and Foerster LLP
  • Anna Pinedo, Partner, Morrison and Foerster LLP

PLI will be providing CLE credit

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