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News
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June 24, 2013 |
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ACI's 3rd Latin America Summit on Anti-Corruption |
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June 13 - 14, 2013 |
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ACI's 2nd Advanced Forum on International & Cross-Border Payments |
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June 6 - 7, 2013 |
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PLI’s Acquiring or Selling the Privately Held Company 2013 |
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May 31, 2013 |
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The French Association of Business Lawyers - ACE: The Responses of the Legal World to the Crisis (Lawyers Answers to the Crisis) |
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May 7, 2013 |
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IIB Annual Anti-Money Laudering Seminar |
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May 2, 2013 |
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Atlantic Council Transatlantic Finance Initiative - Roundtable |
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April 22 - 23, 2013 |
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Commerzbank Symposium |
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April 14 - 17, 2013 |
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MBA National Technology in Mortgage Banking Conference & Expo |
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April 12, 2013 |
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Torino Crowdfunding: Scenarios and Applications to Finance Business Projects |
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April 10, 2013 |
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PLI's How to Read Financial Statements 2013 |
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April 5 - 6, 2013 |
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The Committee on International Monetary Law of the International Law Association - MOCOMILA Meeting |
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March 20, 2013 |
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CGSH European Regulatory Group Seminar |
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March 17 - 20, 2013 |
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SIFMA's 2013 Compliance and Legal Society Annual Seminar |
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March 14, 2013 |
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BAML Investors Conference 2013 |
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March 10 - 12, 2013 |
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IBA's 14th Annual International Conference on Private Investment Funds |
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March 7, 2013 |
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The 5th Euromoney US Covered Bond Investor Forum |
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March 4 - 6, 2013 |
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IIR 8th Annual Prepaid Expo |
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February 21, 2013 |
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PLI’s Spin-offs 2013 |
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February 20, 2013 |
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PWC Academy - The Fight Against Financial Crime |
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February 19, 2013 |
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Start-up E Crowdfund Investing in Italia |
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February 12, 2013 |
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Impact on U.S. Regulatory Reform on Global Banks: Key Perspectives on the Major Areas |
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January 15, 2013 |
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Institute of International Bankers Dodd-Frank Seminar |
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December 5, 2012 |
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PLI's Banking Law Insitute 2012 |
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December 5, 2012 |
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SEC & DOJ Hot Topics 2013 |
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November 27 - 28, 2012 |
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2012 Institute of International Bankers CSBS U.S. Regulatory/Compliance Orientation Program |
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November 22, 2012 |
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The New Italian Golden Share |
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November 14 - 16, 2012 |
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The Clearing House's 2nd Annual Business Meeting & Conference |
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November 13, 2012 |
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Euro-Med Start Up: New Business for Young Generations |
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November 13, 2012 |
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Perfecting Security Interests in Deposit Accounts, Securities Accounts and Other Investment Property |
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November 6 - 7, 2012 |
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IBC's Competition Law & Regulation in the Telecoms, Internet & Broadcasting Sectors Conference |
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October 18, 2012 |
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BIICL 10th Anniversary Merger Control Conference |
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October 17, 2012 |
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LSTA 17th Annual Conference |
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October 17 - 18, 2012 |
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2012 Annual Risk Management and Regulatory Examination/Compliance Issues Affecting International Banks Seminar |
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September 10, 2012 |
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Italy's "Growth Decree" |
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July 19, 2012 |
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2nd Annual Cleary Gottlieb EU/US Financial Regulatory Conference, "Two Years Later: Dodd-Frank and Beyond" |
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July 19, 2012 |
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Two Years Later: Dodd-Frank and Beyond |
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May 23, 2012 |
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Le disposizioni di vigilanza prudenziale |
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May 17, 2012 |
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Clarifying the Volker Rule |
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May 15, 2012 |
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Morrison v. National Australia Bank: The Impact on Transnational Investors and Issuers |
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May 15, 2012 |
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2012 Annual Anti-Money Laundering Seminar |
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April 19, 2012 |
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ABA's International Law Section Spring Meeting 2012 |
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March 23, 2012 |
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ABA Business Law Section 2012 Spring Meeting |
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March 20, 2012 |
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ICGN London Conference |
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March 15, 2012 |
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KPMG's 2012 Audit Committee Issues Conference |
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December 14, 2011 |
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CONSOB Precedents on Mandatory Tender Offers: Amendments to the Issuers' Regulation |
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November 30, 2011 |
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Implementation of the Dodd-Frank Act – Key Issues for International Banks |
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November 29, 2011 |
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New Regulation of Financial Sector Entities |
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November 23 - 25, 2011 |
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The Lawyer Funds Summit 2011 |
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November 15, 2011 |
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International Securities Regulation: How We Got Here, Where We’re Going |
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November 15 - 16, 2011 |
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Law Leaders Europe 2011 |
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October 20, 2011 |
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Financial Markets Association 2011 Treasury and Capital Markets Legal and Legislative Issues Conference |
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October 13 - 14, 2011 |
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The New York City Bar’s and Penn State Dickinson School of Law’s Seventh Annual Institute on Corporate, Securities, and Related Aspects of Mergers and Acquisitions |
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September 29, 2011 |
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Seminar on Consumer Protection in the Banking Industry |
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July 26, 2011 |
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Dodd-Frank: One Year Later |
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July 13, 2011 |
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Korean Mission to the EU |
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July 7, 2011 |
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Embassy of the Republic of China in Belgium, for MOFCOM (China) |
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June 16-17, 2011 |
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ALI-ABA Commercial Lending Today |
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June 7, 2011 |
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Financial Advisors and Conflict of Interest in M&A Transactions |
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April 12, 2011 |
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BDI: Wirtschaftskreis der deutschen Industrie |
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April 6, 2011 |
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ABA Section of International Law Spring Meeting 2011 |
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March 21, 2011 |
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SIFMA Compliance & Legal Society 2011 Annual Seminar |
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February 7, 2011 |
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IstEin Seminar on Comparing Financial Re-Regulation: USA vs. Europe |
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2011 |
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Brussels School of Competition |
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February 3, 2011 |
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Eurozone Conference |
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January 28, 2011 |
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The Law and Economics of Merger Control |
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October 27, 2010 |
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Financial Markets Association: 2010 Legal and Legislative Issues Conference |
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October 20, 2010 |
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IIB Annual Seminar on Risk Management and Regulatory Examination/Compliance Issues Affecting International Banks |
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September 29, 2010 |
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ALI-ABA Webinar - The Volcker Rule: Navigating Its Impact on Private Investment Funds and Financial Institution Sponsors |
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July 15, 2010 |
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SIFMA's Regulatory Reform Summit |
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May 24, 2010 |
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American Bankruptcy Institute's 12th Annual New York City Bankruptcy Conference |
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May 20, 2010 |
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IIB International Banking Anti-Money Laundering Seminar |
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February 23, 2010 |
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Class action e settore finanziario |
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February 2, 2010 |
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NYC Financial Services Advisory Committee: NYC Insurance Roundtable - Growing NYC as an Insurance Center |
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January 28, 2010 |
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ALI-ABA Commercial Lending Today |
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January 13, 2010 |
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PLI's Secured Transactions 2010: What Lawyers Need to Know About UCC Article 9 |
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December 3, 2009 |
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NYC Financial Services Advisory Committee: NYC as a Financial Center in 2020 |
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November 10, 2009 |
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IIB Conference on U.S. Bankruptcy/Resolution Issues and Cross-Border Regulatory and Market Implications for Internationally Active Banks |
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November 9, 2009 |
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7th UNCTAD Debt Management Conference |
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November 4, 2009 |
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Financial Markets Association: 2009 Legal and Legislative Issues Conference |
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October 20, 2009 |
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IIB Annual Seminar on Risk Management and Regulatory Examination and Compliance Issues Affecting International Banks |
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September 16, 2009 |
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PLI's Corporate Counsel Institute 2009 |
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July 28, 2009 |
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IIB/CSBS U.S. Regulatory/Compliance Orientation Program |
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June 23, 2009 |
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IBC Legal Conferences: Competition Law in the Financial Services Sector |
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June 23, 2009 |
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Competition Law in the Financial Services Sector 2009 |
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June 2, 2009 |
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IIB International Banking Anti-Money Laundering Seminar |
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May 15, 2009 |
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26th International Financial Law Conference |
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April 22, 2009 |
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PLI's Banking Law Institute 2009: Stabilizing the Financial Services System |
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April 15, 2009 |
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Risks & Resolutions: The 'Day After' for Financial Institutions |
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April 2, 2009 |
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The Listing Regime 2009 |
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March 4, 2009 |
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Maintaining a Level Playing Field in the Financial Markets Crisis - Applying the EU State Aid Rules to Measures to Stabilize Financial Markets |
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March 1-3, 2009 |
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Institute of International Bankers Annual Washington Conference |
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February 18, 2009 |
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Financial Sector in Distress - Ramifications of the Bailout |
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February 18, 2009 |
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PLI's Corporate Governance - A Master Class 2009 |
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January 29, 2009 |
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Commercial Lending and Banking Law -- 2009 |
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January 14, 2009 |
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PLI's What Lawyers Need to Know About UCC Article 9: Secured Transactions 2009 |
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December 4, 2008 |
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U.S. Government Bailout Programs: What Financial Institutions and Investors Need to Know |
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October 10, 2008 |
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Treasury's Financial Rescue Program – What Financial Institutions Need to Know |
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December 5, 2007 |
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PLI's Understanding Complex Financial Institutions 2007 |
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Results 1 - 98 of 98 | Pages 1 2 3 4 5 More » | View All »
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