Fundamentals of Securities Law


Thursday, May 31, 2012 - Friday, June 1, 2012


Denise R. Cade, senior vice pres, gen counsel and corp secretary, SunCoke Energy; Martin P. Dunn, O'Melveny & Myers LLP, Washington DC and frmr deputy dir, Division of Corporation Finance, U.S. Securities and Exchange Commission; Robert B. Robbins, Pillsbury Winthrop Shaw Pittman LLP


BASF Conf Center
301 Battery St 3rd flr
San Francisco, CA
United States

RSVP: or (800) 253-6397




day one, 9 am-5:15 pm, day two, 8:30 am-4 pm

CLE Credits:

12 hrs, including 1 ethics hr


The course is designed for in-house counsel, business lawyers in private practice, and commercial litigators who are unfamiliar with current federal securities regulation and who want to learn securities law from the best teachers and practitioners. It’s also designed for those who want a refresher course in securities law and those who want an update on recent developments. If you are unfamiliar with the changes in law and regulation under the Dodd-Frank Act, recent proposals for expanding private offering exemptions, or recent developments in the law of insider trading, or you haven’t followed the amendments and interpretations of SEC rules for securities offerings, private offerings, and resales of restricted securities and the unprecedented explosion of current civil and criminal enforcement efforts, then this is the course for you.


Javascript is required to view this map.