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Mutual Fund Best Practices Forum

Organizer: BNY Mellon
June 21, 2013

New York, NY

FLAA Learn and Lead CLE Series

Organizer: Fordham University Law School

Topic: A Primer on Securities Class Action Litigation: What Every Practitioner Needs to Know
June 14, 2013

New York, NY

24th Annual Conference on the Globalisation of Investment Funds

Organizer: International Bar Association

Topic: Managing regulatory risk in the asset management industry
June 9-11, 2013

Boston, MA

American Bar Association Tax Section Conference

Organizer: Investment Management Committee

Topic: Investment Activities in India and Mauritus
May 10, 2013

Washington, D.C.

In House Counsel CLE Conference

Organizer: New York Law Journal

Topic: Legal Ethics and E-Discovery: What Lawyers Need to Know
April 30, 2013

New York, NY

2013 Spring Investment Forum

Organizer: American College of Investment Counsel

Topic: Don’t Leave it to Chance: Managing E-Discovery Costs and Risks in 2013
April 25-26, 2013

Chicago, IL

Corporate Governance & Risk Management – International

Organizer: The Governance Fund
April 16, 2013

New York, NY

Corporate Governance & Risk Management – United States

Organizer: The Governance Fund
April 16, 2013

New York, NY

International Arbitration and Mediation

Organizer: Fordham Law School

Topic: Arbitration of Patent Disputes
April 11-12, 2013

New York, NY

Casualty Insights Conference

Organizer: Advisen

Topic: Umbrella and Excess Liability: Coverage, Claims and Underwriting Issues
March 19, 2013

New York, NY

SIFMA Compliance & Legal Society - 2013 Annual Seminar

Organizer: SIFMA

Topic: Litigation Update--Banking and Bankruptcy
March 17-20, 2013

Phoenix, AZ

Hedge Fund Enforcement & Regulatory Developments Winter 2013

Organizer: Practising Law Institute

Topic: The New CFTC Regulatory Scheme for Hedge Funds and Private Equity
March 6, 2013

New York, NY

Legal Sector 2013 Roundtable Breakfast

Organizer: Cushman & Wakefield
February 6, 2013

New York, NY

American Bar Association, Tax Section Midyear Meeting

Organizer: Investment Management Committee

Topic: Tax Developments for Investment Funds: FATCA, Medicare Tax, Fiscal Cliff Legislation, Other Recent Developments
January 25, 2013

Orlando, FL

Legal Series: International Securities Litigation LIVE Webcast

Organizer: The Knowledge Group

Topic: More globalized securities markets will offer different and challenging enforcement actions and private damage actions. It is therefore essential that companies and their lawyers should be in the know with respect to the latest strategies available when they are caught up in international securities litigation.

The Knowledge Group is assembling a panel of thought leaders to help companies understand the fundamentals and the recent developments in international securities litigation. In a live two-hour webcast, key experts will offer their substantive viewpoints to help you learn effective ways and means of international securities litigation. A live interaction with the speakers and several role playing scenarios are also included in this event.
January 16, 2013
9:00AM-11:00AM

CFTC Changes Registration Rules

Organizer: Goldman Sachs
December 13, 2012

New York, NY

Auditor Liability Trends

Organizer: Baruch College

Topic: Auditor Liability Trends
November 29, 2012

New York, NY

Compliance 2012

Organizer: Managed Funds Association

Topic: CFTC and CPO/CTA Registration & Compliance
November 27, 2012

New York, NY

Advising Clients On Say-On-Pay & Related Executive Compensation Issues

Organizer: New York City Bar

Topic: This program, is designed to provide advice to lawyers who practice in the corporate governance, executive compensation, employment and general corporate areas.

November 13, 2012

New York, NY

Hedge Fund Enforcement & Regulatory Developments 2012

Organizer: Practising Law Institute
October 31, 2012

New York, NY

Commodity Interest, Commodity Pool, CPO and CTA Compliance Under the Dodd-Frank Act and CFTC Rules

Organizer: DC Bar

Topic: Please join us for a discussion of Commodity Pool Operator (CPO) and Commodity Trading Advisor (CTA) issues under the Dodd-Frank Act of 2010, including what constitutes a commodity interest, what entities qualify as commodity pools, as well as compliance issues for CPOs and CTAs and their applicable registration timelines or possible exemptions.

This "Off the Record" brown bag program is sponsored by the Derivatives, Securitization, and Project Finance Committee of the Corporation, Finance and Securities Section.
October 17, 2012

Washington, D.C.

Advising Clients On Say-On-Pay & Related Executive Compensation Issues

Organizer: New York City Bar

Topic: Litigation Risks- Best Practices to Prepare for Possible Shareholder Lawsuits

October 16, 2012

New York, NY

Whistleblowers & Special Investigations

Organizer: Practising Law Institute
October 12, 2012

New York, NY

CFTC Final Rules Regarding Exemptions from CPO and CTA Registration

Organizer: Goldman Sachs

Topic: As the year-end registration deadline approaches, we invite you to join us in a discussion of the CFTC’s final rules regarding exemptions from CPO and CTA registration. Rita Molesworth, a partner in the Corporate and Financial Services Department of Willkie Farr & Gallagher LLP, will address the exemptions and the potential implications of registration with the CFTC.
October 3, 2012

Drafting Securities Filings 2012

Organizer: Practising Law Institute

Topic: MD&A and the Annual Report to Shareholders
September 27-28, 2012

New York, NY

CPO and CTA Workshop

Organizer: National Futures Association

Topic: Who has to register, the registration process and proficiency requirements
September 27, 2012

New York, NY

Bet the Company” Litigation 2012: Best Practices for Complex Cases

Organizer: Practising Law Institute

Topic: Regulatory Investigations
September 25, 2012

New York, NY

Selected LOB Issues

Organizer: International Tax Institute
September 12, 2012

New York, NY

Tenth Annual Directors’ Institute on Corporate Governance

Organizer: Practising Law Institute
September 12, 2012

New York, NY

International Tax Seminar

Organizer: International Fiscal Association

Topic: Structuring Cross-Border Private Equity Transactions
July 25, 2012

New York, NY

The Future of Money Market Funds

Organizer: New York City Bar

Topic: Meeting with Bob Plaze and fund industry representatives to discuss recent efforts to amend the regulatory structure for money market funds.
July 10, 2012

New York, NY

Issues to Keep Audit Committee Members Awake at Night

Organizer: Practising Law Institute
June 22, 2012

New York, NY

Making Large Wealth Transfers Without De-Motivating Heirs

Organizer: Wells Fargo Private Bank New York
June 21, 2012

New York, NY

Trends in SEC Enforcement

Organizer: ACE
June 14, 2012

Lafayette Hill, PA

The Coming Battle Over Causation

Organizer: Bloomberg L.P.
June 13, 2012

New York, NY

23rd Annual Conference on the Globalisation of Investment Funds

Organizer: International Bar Association Conferences
June 11, 2012

Boston, MA

Negotiating Real Estate Deals 2012

Organizer: Practising Law Institute

Topic: What Provisions do Joint Venture Partners Negotiate the Most?
June 5, 2012

New York, NY

The JOBS Act and Its Implication on Hedge Funds

Organizer: Infovest21

Topic: The hedge fund industry is one of the major beneficiaries of the JOBS Act. Over the next 90 days, the SEC been directed to develop new regulations for the hedge fund industry regarding general solicitation and advertising. This seminar will address the advantages and disadvantages of the new regulation and how hedge fund managers should prepare.
May 24, 2012

New York, NY

2012 Annual Americas Conference

Organizer: INSOL
May 20-22, 2012

Miami, FL

Fifteenth Annual Hedge Fund Conference

Organizer: Goldman Sachs
May 20-22, 2012

New York, NY

The Role of Judgment in Litigation Contingency Reporting

Organizer: Deloitte Foundation & Federation Schools of Accountancy
May 18, 2012

Chicago, IL

MFA’s Crash Course on CFTC Registration and Compliance for Private Funds and Advisors

Organizer: Managed Funds Association

Topic: Commodity Pool Operator and Commodity Trading Advisor 101: What you need to know about registration and exemptions
May 16, 2012

New York, NY

Conflicts in the Face of Corporate Representations

Organizer: New York City Bar White Collar Crime Institute
May 14, 2012

New York, NY

34th Annual Law & Compliance Division Conference on the Regulation of Futures, Derivatives and OTC Products

Organizer: Futures Industry Association
May 9-11, 2012

Baltimore, MD

Advice from the Experts: Successful Strategies for Winning Commercial Cases in New York State Courts

Organizer: New York County Lawyers’ Association
May 4, 2012

New York, NY

Futures & Derivatives 2012: Distinguising Markets & Understanding Converging Regulatory Regimes

Organizer: City Bar

Topic: The Big Picture: How the Futures & Derivatives Markets & Associated Legal & Regulatory Regimes Developed & Where They are Today
May 3, 2012

New York, NY

Casualty Insights Conference

Organizer: McGraw Hill Conference Center

Topic: Tort Trends and Their Impact on Casulaty Claims
May 1, 2012

New York, NY

Lessons of the Rajaratnam Trial: Be Careful Who’s Listening

Organizer: American Bar Association Section of Litigation
April 20, 2012

Washington, D.C.

ABA Spring 2012 National Legal Malpractice Conference

Organizer: American Bar Association Standing Committee on Lawyers' Professional Liability
April 18-20, 2012

New York, NY

Spring Meeting of the ABA

Organizer: UCC Committee - Co-Sponsored by Commercial Finance and Business Bankruptcy Committees

Topic: Security Interests in Proceeds of Collateral: The Rules and Recent Developments in Case Law and in Bankruptcy
March 23, 2012

Las Vegas, NV

Loss Contingencies from SEC Litigation

Organizer: Financial Executives International

Topic: Financial Reporting & Litigation Contingencies
March 21, 2012

New York, NY

CFTC Final Rules Regarding Exemptions from CPO and CTA Registration

Organizer: Goldman Sachs Prime Brokerage

Topic: We invite you to join us in a discussion of the CFTC’s recent adoption of the final regulations and amendments regarding exemptions from CPO and CTA registration. Rita Molesworth, a partner in the Corporate and Financial Services Department of Willkie Farr & Gallagher LLP, will address the remaining exemptions from registration and the potential implications of registration with the CFTC.

March 1, 2012

Audit Committees & Corporate Governance

February 15, 2012

New York, NY

Maples Investment Funds Forum

Organizer: Maples and Calder

Topic: Hedge Fund Topical Update
February 10, 2012

Grand Cayman
Cayman Islands

Accounting Fraud & the Dynamics of the Board Room

Organizer: University of Chicago Law School
February 8, 2012

Chicago, IL

Derivatives and Futures Law

Organizer: American Bar Association
January 26-28, 2012

Naples, FL

GAIM USA 2012

Organizer: GAIM USA

Topic: After Raj – how will the insider trading convictions of 2011 impact the industry and the way in which it does business in the future?
January 22-25, 2012

Boca Raton, FL

Financial Reporting & the Chief Ethics Officer

Organizer: Ethics Resource Center

Topic: Financial Reporting & the Chief Ethics Officer
January 19, 2012

Arlington, VA

NASBA Center for the Public Trust

Organizer: NASBA Center for the Public Trust
December 1, 2011

New York, NY

Private Equity Transactions Symposium 2011

Organizer: International Bar Association

Topic: Exits: current market issues and predictions for the next year
December 1, 2011 and December 6, 2011

London
England

Private Equity Transactions Symposium 2011

Organizer: International Bar Association

Topic: Current issues: a mixed bag of topical issues
December 1, 2011 and December 6, 2011

London
England

Making the Case: Developing Legally Defensible eDiscovery Best Practices

Organizer: Georgetown Advanced E-Discovery Institute

Topic: Workshop on Designing Corporate Policies
November 17-18, 2011

Arlington, VA

Global Hospitality & Lodging Investment Summit 2011

Organizer: iGlobal Forum

Topic: Emerging Markets Update: Outlook For Hospitality Investment, Development and Franchise

November 9, 2011

New York, NY

"Bet the Company" Litigation 2011: Best Practices for Complex Cases

Organizer: Practising Law Institute

Topic: Settlement Strategies
November 8, 2011

New York, NY

Litigation Contingency Reporting: Increasing Scrutiny By FASB & The SEC

Organizer: New York City Bar Association
November 4, 2011

New York, NY

Litigation Contingency Reporting for Disclosure Counsel

Topic: Working Group on Legal Opinions
October 25, 2011

New York, NY

National Association of the State Boards of Accountancy

Topic: China & Other Global Challenges
October 24, 2011

Nashville, TN

6th Annual Entertainment Business Law Seminar

Organizer: HSBC Private Bank

Topic: Cloud Computing vs. File Sharing
October 18-22, 2011

New York, NY

Drafting Securities Filings 2011

Organizer: Practising Law Institute

Topic: MD&A and the Annual Report to Shareholders

October 13-14, 2011

New York, NY

NAIC 41st Annual Meeting & Convention

Organizer: The National Association of Investment Companies (NAIC)

Panel: The State of Private Equity in the Emerging Domestic Market (Willkie Sponsor)
Join NAIC member Fund of Funds as they discuss the latest developments in private equity in the EDM and consider strategies to ensure its future success.

Moderator: Phil Isom, Partner, Asset Management Group Willkie Farr & Gallagher LLC
October 3, 2011

Palm Beach, FL

Ninth Annual Directors’ Institute on Corporate Governance

Organizer: Practising Law Institute
September 7, 2011

New York, NY

Ninth Annual Directors' Institute on Corporate Governance

Organizer: Practising Law Institute

Topic: Enforcement and Compliance
September 7, 2011

New York, NY

The Attorney-Client Privilege and Internal Investigations 2011

Organizer: Practising Law Institute

Topic: The Attorney-Client Privilege and Internal Investigations
August 16, 2011

New York, NY

Understanding the Securities Laws 2011

Organizer: Practising Law Institute
July 28-29, 2011

New York, NY

Janus Capital Group v. First Derivative Traders

Organizer: Law Seminars International

Topic: Implications of the Decision for Prosecutors/Plaintiffs and Defendants
July 14, 2011
12:00 pm Pacific / 3:00 pm Eastern

Internal Investigations 2011: Investigations in the Aftermath of Dodd-Frank

Organizer: Practising Law Institute

Topic: Concluding the Investigation

June 28, 2011

New York, NY

The SEC, FASB & Securities Litigation Reporting: A Clash of Cultures

Organizer: Bloomberg L.P.
June 23, 2011

New York, NY

Dodd-Frank & the Whistleblower Rules

Organizer: Practising Law Institute
June 22, 2011

New York, NY

2011 ACS National Convention - Constitution at the Crossroads: Progress Imperiled

Organizer: American Constitution Society for Law and Policy (ACS)

Topic: Dodd-Frank Wall Street Reform and Consumer Protection Act
June 16-18, 2011

Washington, DC

Connecting the Dots: Financial Reporting, Securities Litigation & The Supreme Court

Organizer: New York City Bar Association
June 16, 2011

New York, NY

Assessing the Impact of the Lehman Brothers Collapse and the Financial Crisis on Securities Enforcement and Litigation

Organizer: Federal Bar Council
June 15, 2011

New York, NY

The Supreme Court & Securities Litigation

Organizer: New York City Bar Association
June 9, 2011

New York, NY

Hedge Fund Regulation & Current Developments

Organizer: The George Washington University Law School

Topic: Current Legal Developments
June 8, 2011

New York, NY

Negotiating Real Estate Deals 2011

Organizer: Practising Law Institute

Topic: What Provisions Do Joint Venture Partners Negotiate the Most?

June 7, 2011

New York, NY

Fair Value Accounting & Securities Litigation

Organizer: ACE Professional Risk
June 7, 2011

Lafayette Hill, PA

East Coast Regional Meeting

Organizer: NICSA

Topic: Star-Studded Tax Update
June 3, 2011

New York, NY

The SEC, FASB and ASB 450: New Challenges for Auditors

Organizer: PricewaterhouseCoopers LLP
June 1, 2011

New York, NY

The 11th Annual SuperConference

Organizer: Inside Counsel

Topic: Taking Control of Document Review - Strategies and Methods to Finish Projects Faster and Keep Costs Under Control.
May 23-24, 2011

Chicago, IL

The SEC & Securities Litigation Reporting: A Conflict of Cultures

Organizer: Chartis (AIG)
May 19, 2011

New York, NY

Board Relationships: Communications, Roles & Responsibilities

Organizer: AICPA
May 18, 2011

Boston, MA

13th Annual New York City Bankruptcy Conference

Organizer: American Bankruptcy Institute

Topic: Municipal and Other State Agency Restructurings
May 6, 2011

New York, NY

The Foreign Corrupt Practices Act 2011

Organizer: Practising Law Institute

Topic: Difficult and Unresolved Questions under the FCPA

May 5, 2011

New York, NY

33rd Annual Law & Compliance Division Conference on the Regulation of Futures, Derivatives and OTC Products

Organizer: Futures Industry Association

Topic: This session will provide an overview of legislative changes and regulatory initiatives applicable to the asset management community with the passage of Dodd-Frank and the Volker Rule. Panelists will discuss Dodd-Frank's impact and rulemakings that affect investment advisers, commodity pool operators, commodity trading advisors and the management of hedge funds. The session will also cover recent developments such as expert networks and insider trading, "pay to play" and new California and New York lobbying laws.
May 4-6, 2011

National Harbor, MD

The SEC, FASB and ASC 450: New Challenges for Auditors

Organizer: Deloitte LLP
May 4, 2011

New York, NY

ACIC Annual Spring Investment Forum

Organizer: American College of Investment Counsel ("ACIC")

Topic: Financial Regulatory Changes
  • Proposed SEC and CFTC Rules on Key Definitions in Dodd/Frank Relating to Derivatives
  • Impact of Dodd/Frank and EU Directive on Fund Formation
  • Orderly Liquidation and Proposed Rules
  • Update on Financial Stability Oversight Council
  • NAIC Ratings Initiatives
April 28, 2011

Chicago, IL

Preparing Private Fund Managers for the Challenges of Regulation – Compliance Matters of Significance and Hot Button SEC Enforcement Themes

The Dodd-Frank Act eliminates, effective July 21, 2011, the "private adviser exemption" under the Investment Advisers Act of 1940, the provision that has enabled hedge fund and private equity fund managers over the years to have the ability to operate outside of the scope of the Advisers Act. For many, if not most of these managers, the loss of the exemption will mean having to deal with the myriad of challenges of a regulated world. In turn, meeting the challenges may well result in fundamental changes in these managers' business operations practices and compliance.
April 27, 2011

New York, NY

OTC and Listed Derivatives in the wake of Dodd-Frank

Organizer: Capital Markets Consortium
April 27, 2011
1:00pm-6:00pm

New York, NY

RBC Wealth Management Conference

Topic: Timeline for Collapse of General Motors and Chrysler
April 26, 2011

New York, NY

Litigation Contingency Reporting: Where Are We with FASB and the SEC?

Organizer: Time Warner
April 17, 2011

New York, NY

Securities Offerings 2011: Getting Your Deal Done

Organizer: Practising Law Institute

Topic: Registration Statements and Offering Mechanics
April 13, 2011

New York, NY

Litigation Contingency Reporting: Implications for Companies & Insurers

Organizer: AIG Claims
April 12, 2011

New York, NY

Current Issues in Insurance Regulation 2011

Organizers: ABA/TIPS insurance Regulation Committee & The Insurance Federation of New York, Inc.

Topic: Hot Topics II: Solvency Modernization Initiative/Solvency II; Life Insurance; Health Insurance
April 8, 2011

New York, NY

Litigation Contingency Reporting: Where Are We with FASB and the SEC?

Organizer: Willkie Farr & Gallagher LLP
March 29, 2011

New York, NY

Investment Management Buffet Luncheon

The Investment Management Group hosts a buffet luncheon at the annual ICI Mutual Fund Conference.
March 28, 2011
12:00PM - 1:25PM

Palm Desert, CA

Accounting Claims

March 22, 2011

New York, NY

Litigation Contingency Reporting: Where Are We with FASB and the SEC?

Organizer: Mattel, Inc.
March 21, 2011

New York, NY

The SEC, FASB and ASC 450: New Challenges for Auditors

Organizer: Ernst & Young LLP
March 17, 2011

New York, NY

NYIPLA (New York Intellectual Property Law Association)

Topic: FTC Report Protecting Consumer Privacy in an Era of Rapid Change
March 1, 2011

New York, NY

Iowa Law Review Symposium - The Future of Legal Education

Organizer: Iowa Law Review

Topic: Who Is Responsible for Preparing Law Students
February 25, 2011

Iowa City, IA

Litigation Contingency Reporting: Where Are We with FASB and the SEC?

Organizer: Marsh & McLennan Companies
February 22, 2011

New York, NY

Financial Reporting & The Board Room

Organizer: University of Chicago
February 14, 2011

Chicago, IL

Investment Management Institute 2011

Organizer: Practising Law Institute
February 10-11, 2011

New York, NY

Derivatives and Futures Law Committee Meeting

Organizer: American Bar Association

Topic: Dodd Frank Implications for Market Participants

Who is a swap dealer or MSP vs. an end user; requirements for swap dealers and MSPs, including business conduct standards; risk management procedures; conflicts of interest (including firewalls); capital, margin and segregation

February 3-5, 2011

Naples, FL

E-Discovery 2020 – The Next Generation of Innovation: Practical Advice for Successfully Navigating the Second Decade

Organizer: Planet Data
February 1, 2011

New York, NY

Litigation Contingency Reporting: Where Are We With FASB & The SEC

Organizer: New York City Bar
January 28, 2011

Title VII of Dodd-Frank: The New Derivatives Regime

Organizer: Columbia Law School

Topic: Registration
January 21, 2011

New York, NY

Financial Reporting & Litigation Contingencies

Organizer: Northwestern Law Executive and Professional Education
January 20, 2011

San Diego, CA

Real Estate M&A and REIT Transactions 2011

Organizer: Practising Law Institute
January 13, 2011

New York, NY

Dodd-Frank Act and the New Regulatory Regime for Derivatives: What’s New?

Organizer: Practising Law Institute

Topic: Dodd-Frank issues with focus on commodity pool operators and commodity trading advisors
January 5, 2011

Understanding the Securities Laws 2010

Organizer: Practising Law Institute

Topic: Regulation of Proxy Solicitations
December 6-7, 2010

New York, NY

NASBA Center for the Public Trust

Organizer: NASBA Center for the Public Trust
December 2, 2010

New York, NY

Hedge Fund Enforcement & Regulatory Developments

Organizer: Practising Law Institute

Topic: CFTC’s Expanded Role in Hedge Fund Regulation and Enforcement
November 22, 2010

New York, NY

Annual Regulatory and Financial Accounting Update for Board Members

Organizers: Willkie Farr & Gallagher LLP and Women Corporate Directors

Topics: Regulatory Update: "Dodd-Frank: Implications for All Corporate America - Not Just Financial Institutions" and Current Topics: Financial Accounting and Risk Oversight
November 10, 2010
2:00PM - 5:00PM

New York, NY

CFO/COO Roundtable

Organizer: Jefferies' Prime Brokerage Group

Topic: Financial Regulatory Reform for Hedge Fund Managers
November 10, 2010

New York, NY

The Auditor & Corporate Governance

Organizer: Foundation for Accounting Education
November 10, 2010

New York, NY

Latest Developments in Insider Trading Laws and Enforcement

In light of the highly publicized Galleon and Cuban cases and the SEC's announced focus on insider trading, it is more important than ever to understand where the lines are drawn.
November 9, 2010

New York, NY

Internal Investigations: Critical Considerations and Strategies

Organizer: Ethisphere
November 3, 2010

USPTO's New Post-KSR Obviousness Guidelines

Organizer: Law Seminars International

Program: Three years after the Supreme Court's decision in KSR v. Teleflex, practitioners and commentators continue to debate the vitality of pre-KSR Federal Circuit precedents interpreting and applying 35 U.S.C. 103.
October 27, 2010

Understanding the Securities Laws 2010

Organizer: Practising Law Institute

Topic: Regulation of Proxy Solicitations
October 25-26, 2010

New York, NY

Fraudulent Financial Reporting: Deterrence & Detection

Organizer: New York City Bar Association
October 22, 2010

New York, NY

Advanced Swaps and Other Derivatives 2010

Organizer: Practising Law Institute
October 19, 2010

New York, NY

Drafting Securities Filings 2010

Organizer: Practising Law Institute

Topic: MD&A and the Annual Report to Shareholders

October 14-15, 2010

New York, NY

Advanced Securities Law Institute 2010

Organizer: Practising Law Institute

Topic: Recent Developments in Employee Compensation
October 8, 2010

New York, NY

Directors’ Institute on Corporate Governance

Organizer: Practising Law Institute
October 7, 2010

New York, NY

Corporate Governance & Special Investigations

Organizer: Deloitte
October 5, 2010

New York, NY

The Future of Risk Management

Organizer: American International Group, Inc.
October 5, 2010

New York, NY

FRCP 26(F) All Access: A Behind the Scenes View of the Current Requirements

Organizer: PlanetData

Topic: This webinar will provide best practices and standards for 26(F). Our expert faculty will discuss the fundamentals of what is considered "adequate knowledge" of client systems, information and data at the outset of a case and also address ECA technologies and analytical tools to enable counsel to place their clients in an advantageous position at the beginning of litigation.
September 23, 2010

New York

Fraud in the Workplace

Organizer: American Express
September 23, 2010

New York, NY

The Subprime Crisis: Emerging Trends in Financial Reporting

Organizer: New York State Bar Association
September 15, 2010

New York, NY

Asset Management Group Training Seminar

Topic: Financial Privacy For the Asset Management Industry
August 20, 2010

New York, NY

Financial Reform Forum

Organizer: Practising Law Institute
August 17, 2010

Chicago, IL

FIA Financial Reform Forum: Impact on Derivatives Market Participants

Organizer: Futures Industry Association

Topic: The Dodd-Frank Wall Street Reform and Consumer Protection Act contains sweeping reforms for the financial services industry; however, the derivatives section is of the most interest to participants in the listed and over-the-counter derivatives markets. The FIA Financial Reform Forum will give an in-depth review of the provisions of the Act that may impact the way business is conducted in the futures markets.
August 9, 2010

New York, NY

Annual Meeting of the ABA

Organizer: UCC Committee - Co-Sponsored by Commercial Finance and Business Bankruptcy Committees

Topic: Never Really Thought About It: Understanding “Miscellaneous” Provisions and Other Background Text in [Security] Agreements
August 6, 2012

San Francisco, CA

Risk Management, Board Oversight & Liability

Organizer: Rutgers University
July 21, 2010

New York, NY

FASB, the IASB & Audit Committees

Organizer: Securities Docket
June 24, 2010

New York, NY

The Audit Committee & Risk Management

Organizer: Practising Law Institute
June 23, 2010

New York, NY

Corporate Governance & Risk Management

Organizer: The SEC Institute
June 21, 2010

New York, NY

Ethical Issues in the Practice of Securities Laws

Organizer: New York City Bar Association
June 17, 2010

New York, NY

FRCP 26 (F) All Access - A Behind the Scenes View of the Current Requirements (Webinar)

Organizers: Planet Data and Law.com

Topic: Best Practices and Standards For 26(f) Conference Preparedness
June 16, 2010
2:00PM

Globalization & Liability for Financial Reporting

Organizer: National Association of the State Boards of Accountancy
June 11, 2010

Charleston, SC

Corporate Governance & Risk Management

Organizer: Bloomberg

June 9, 2010

New York, NY

Internal Investigations 2010: How to Protect Your Clients or Company

Organizer: Practising Law Institute

Topic: Concluding the Investigation
June 8, 2010

Chicago, IL

Credit Default Swaps & Corporate Governance

Organizer: Merrill Lynch & Co., Inc.
June 8, 2010

New York, NY

10th Annual International Insolvency Conference

Organizer: International Insolvency Institute

Topic: Coordinating a 140 Country Restructuring: The Nortel Experience
June 7-8, 2010

Rome
Italy

Corporate Governance & Risk Management

Organizer: The SEC Institute

May 24, 2010

Dallas, TX

Trends in Securities Class Action Trials and SEC Investigations

Organizers: Chartis/AIG

May 13, 2010

New York, NY

Risk Management & The Fiduciary Standard of Care

Organizer: NYU Pollack Center For Law & Business
May 7, 2010

New York, NY

The SEC & Securities Litigation Defense

Organizer: ACE
May 4, 2010

New York, NY

Law and Compliance Division Workshop

Organizer: FIA
May 2010

National Harbor, Maryland

Global Capital Markets and the Securities Laws

Organizer: Practising Law Institute
April 28, 2010

New York, NY

Conference on the Regulation of Futures, Derivatives and OTC Products

Organizer: FIA Law and Compliance Divis
April 28-30, 2010

National Harbor, MD

Negotiating the Sophisticated Real Estate Deal 2010

Organizer: Practising Law Institute

Topic: Contract Negotiations: How is This Year Different from Last Year?
April 27, 2010

New York, NY

Securities Litigation: Where Are We Going?

Organizer: Advisen Ltd.
April 16, 2010

New York, NY

Ninth Annual Conference on Taxation of Mergers and Acquisitions

Organizer: CITE

Topic: Special Issues in International/Cross-border Mergers and Acquisitions
April 12-13, 2010

New York, NY

Investment Management Institute 2010

Organizer: Practising Law Institute
April 8-9, 2010

New York, NY

Primary Liability for Secondary Actors

Organizer: Federal Bar Council
April 7, 2010

New York, NY

Advanced Forum on Securities Regulation and Enforcement

Organizer: American Conference Institute

Topic: Recent Developments Regarding The Scienter Requirement
March 23, 2010

New York, NY

“Risk Management” and Other Issues for D&O Insurers

Organizer: Bank of America Merrill Lynch
March 17, 2010

New York, NY

Investment Management Buffet Luncheon

The Investment Management Group hosts a buffet luncheon at the annual ICI Mutual Fund Conference.
March 15, 2010

Phoenix, AZ

2nd Annual Strategic Governance & Leadership Retreat For Corporate Board Members

Organizers: Bank of America and Merrill Lynch

Topic: Outside Director’s Guide to Hostile M&A

March 1-3, 2010

Naples, FL

Corporate Governance

Organizer: Practising Law Institute

Topic: Enforcement Update
February 17, 2010

New York, NY

Accounting Irregularities & The Federal Securities Laws

Organizer: University of Chicago Law School
February 15, 2010

Chicago, IL

Challenges For Corporate Boards In An Era Of Heightened Shareholder Engagement

Organizer: The Directors Roundtable

The Directors Roundtable is a civic group which organizes the preeminent worldwide programming for Directors and their advisors. Special appreciation is given to Willkie Farr & Gallagher LLP for its cooperation in this event.
February 4, 2010
8:30 A.M. – 11:00 A.M.

New York, NY

4th Annual FCPA Boot Camp

Organizer: American Conference Institute

Topic: The FCPA Year in Review: What the Latest Cases Reveal About Compliance Standards and Risks
January 26-27, 2010

Houston, TX

Lessons Learned in Litigation

Organizer: J.H. Cohn LLP
January 21, 2010

Roseland, NJ

REIT and Real Estate M&A Restructurings and Recapitalizations 2010

Organizer: Practising Law Institute

Topic: Unsolicited Suitors, Activist Shareholders, and Hedge Fund Raids
January 14, 2010

New York, NY

Regulation of Futures and Derivative Instruments

Organizer: American Bar Association
January 2010

Naples, FL

Lessons (For Audit Staffers) Learned in Litigation

Organizer: BDO Seidman, LLP
December 21, 2009

New York, NY

Increasing Transparency in Financial Reporting

Organizer: NASBA Center for the Public Trust & Baruch College
December 2, 2009

New York, NY

SWAF Annual Meeting

Organizer: Southwest Actuarial Forum

Topic: Litigation Involving Actuaries
November 30, 2009

San Antonio, TX

Lessons Learned in Litigation

Organizer: BDO Seidman, LLP
November 16, 2009

Grapevine, TX

Bet the Company: Best Practices for Complex Litigation Cases

Organizer: Practising Law Institute

Topic: Internal Investigations
November 10, 2009

New York, NY

Auditor Liability in the Current Environment: How Attorneys and Auditors Can Protect Themselves and Their Clients

Organizer: Practising Law Institute

Topic: PCAOB Oversight
October 30, 2009

International Financial Reporting Standards

Organizer: AICPA/IASC Foundation
October 29, 2009

New York, NY

Tax Strategies for Corporate Acquisitions, Dispositions, Spin-Offs, Joint Ventures, Financings, and Reorganizations

Organizer: Practising Law Institute

Topic: Selected Seller and Buyer Issues Including the Tax Due Diligence Process; Negotiating and Drafting Tax Provisions in Acquisition Agreements; Financial Accounting Considerations; and State and Local Tax Issues

October 28-30, 2009

New York, NY

New Challenges for Audit Committees

Organizer: National Association of Corporate Directors
October 17, 2009

Washington, DC

Fair Value Accounting & Investment Counsel

Organizer: ACIC
October 16, 2009

New York, NY

Webinar on Asset Manager Acquisitions: Current Issues, including Private Equity Buyers/Distressed Sellers and the Challenges They Present

ICI and IDC will co-host this webinar on acquisitions of investment advisers by private equity funds.
October 7, 2009

Hedge Funds 2009

Organizer: Practising Law Institute

Topic: Tax Developments and Commodities Act Compliance
October 7, 2009

New York, NY

Business Development Companies: An Alternative Capital Source, Evaluating and Using BDCs to Finance Business Ventures

Organizer: Strafford

Topic: This seminar will review Business Development Companies, which are re-emerging as a capital-raising alternative for businesses. The panel will offer strategies for taking advantage of opportunities while minimizing legal risks for finance attorneys and counsel to private equity and venture funds.
October 6, 2009

Fair Value Accounting & Litigation

Organizer: Securities Docket
October 1, 2009

New York, NY

National Forensic Accounting Conference

Organizer: AICPA

Topic: Ask the Regulators
September 23, 2009

Orlando, FL

FWA Directors Dinner

Organizer: Financial Women's Association

Topic: An informal, off-the-record dinner discussion with our panel of experts who will provide their personal insights on board service, their experiences getting on and working with boards, and how they are grappling with corporate governance issues in this "interesting" economic climate.
September 15, 2009

New York, NY

Understanding the Securities Laws

Organizer: Practising Law Institute

Topic: Regulation of Proxy Solicitations
September 10-11, 2009

New York, NY

Corporate Training Seminar

Topic: An Introduction to Blue Sky Law and Regulation D
August 6, 2009

Financial Regulatory Reform: What’s Good and What’s Bad in the Treasury Proposals

Organizer: American Accounting Association
August 5, 2009

New York, NY

TARP: Staying Out of the Cross-Hairs

Organizers: Willkie Farr & Gallagher LLP and KPMG LLP
July 28, 2009

New York, NY

TARP Enforcement: The New Regulatory Regime

Firm co-sponsors special conference entitled "TARP Enforcement: The New Regulatory Regime," featuring a keynote address from Neil M. Barofsky -- the Special Inspector General for TARP.
July 28, 2009

New York, NY

Securities Litigation: From Soup to Nuts

Organizer: AIU Holdings, Inc.
July 22, 2009

New York, NY

Securities Litigation: From Soup to Nuts

Organizer: AIU Holdings, Inc.
July 16, 2009

New York, NY

Instant Impact: What Venture Capital & Private Equity Professionals Need to Know about the Overhaul of the Financial Regulatory System

Organizer: Reed Seminars
July 2009

The Audit Implications of Ponzi Scheme Litigation

Organizer: Practising Law Institute
June 30, 2009

New York, NY

Current Ethical Issues in the Practice of Securities Law

Organizer: New York City Bar Association
June 18, 2009

New York, NY

Fair Value Accounting & Litigation Risk

Organizer: Practising Law Institute
June 17, 2009

New York, NY

International Quality & Productivity Center

Organizer: International Quality & Productivity Center
June 11, 2009

New York, NY

The Future of Financial Reporting & Securities Litigation

Organizer: Bloomberg
June 10, 2009

New York, NY

Internal Investigations 2009: How to Protect Your Clients or Company

Organizer: Practising Law Institute

Topic: Concluding the Investigation
June 9, 2009

New York, NY

Oral Due Diligence & FAS 5 Developments

Organizer: New York City Bar Association
June 4, 2009

New York, NY

Business Combination Accounting & Litigation Contingent Liabilities

Organizer: Practising Law Institute
June 1, 2009

New York, NY

Professional Judgment & Fair Value Accounting

Organizer: Federation of Schools of Accountancy
May 14, 2009

Chicago, IL

FAS 157-4: The Meaning of “Value” in Fair Value Accounting

Organizer: Knowledge Congress
April 23, 2009

New York, NY

Investment Management Institute

Organizer: Practising Law Institute

Topic: New SEC Agenda
April 2-3, 2009

New York, NY

27th Annual Spring Meeting

Organizer: American Bankruptcy Institute

Topic: Trimming the Hedges: Liquidations of Private Equity/Hedge Funds
April 1-4, 2009

National Harbor, Maryland

Toxic Transactions: Bribery, Extortion and The High Price of Bad Business

Willkie partner Martin Weinstein moderates a distinguished panel, comprising business executives and government officials, on global anti-bribery laws and enforcement trends. The event includes the participation of TRACE International, leaders in anti-bribery compliance solutions.

March 24, 2009
6:00 PM - 8:30 PM

New York, NY

A Lawyer’s Perspective on Litigation Trends

Organizers: Bank of America & Merrill Lynch
March 20, 2009

New York, NY

Russia and CIS Summit on Anti-Corruption

Organizer: American Conference Institute

Topic: FCPA: Enhancing Internal Controls
March 12, 2009

Moscow
Russia

Private Investment Funds

Organizers: International Bar Association/American Bar Association
March 2009

London
England

Liability of Professionals in the Financial Crisis

Organizer: Securities Docket
February 24, 2009

New York, NY

Fair Value Accounting and Litigation

Organizer: BVR Fair Value Accounting Summit
February 3, 2009

New York, NY

Data Privacy: Emerging Issues of Increasing Risk

Conference focused on significant changes to the data privacy landscape, movement towards more stringent enforcement of data privacy laws, and other key data privacy issues and risks facing companies in all industries.
January 30, 2009

New York, NY

Mergers & Acquisitions 2009: Trends and Developments

Organizer: The Practising Law Institute

Topic: Role Playing - Negotiating the Purchase Agreement
January 23-23, 2009

New York, NY

Real Estate M&A and REIT Transactions

Organizer: The Practising Law Institute

Topic: The Fund Management Model - Acquisition Through JVs/Funds
January 15, 2009

New York, NY

Advanced Licensing Institute

Organizer: Franklin Pierce Law School

Topic: IP Misuse and Antitrust Law
January 9, 2009

Concord, NH

Regulation of Futures and Derivative Instruments

Organizer: American Bar Association
January 2009

San Juan
Puerto Rico

Staying Out of Trouble with the SEC

Organizer: The SEC Institute, Inc.
December 16, 2008

New York, NY

Fair Value Accounting: The Problem or the Solution

Organizer: Labaton Sucharow LLP
December 12, 2008

New York, NY

Legal Risks for Accountants

Organizer: Incisive Media

Topic: Litigation Risks: Update on Recent Developments in Securities Litigation
December 11, 2008

New York, NY

Securities Litigation During the Credit Crisis

Organizer: New York City Bar

Topic: Prosecuting and Defending Securities Class Actions
December 11, 2008

New York, NY

Understanding the Securities Laws

Organizer: Practising Law Institute

Topic: Regulation of Proxy Solicitations
December 8-9, 2008

New York, NY

Liability Implications of the New Audit Standards

Organizer: National Association of the State Boards of Accountancy, Center for the Public Transit
December 4, 2008

New York, NY

CAGNY Annual Meeting

Organizer: Casualty Actuarial Society of Greater New York

Topic: Litigation Involving Actuaries
December 3, 2008

New York, NY

Hedge Fund Enforcement

Organizer: Practising Law Institute

Topic: SEC Examination Priorities and Initiatives

November 24, 2008

New York, NY

Tax Strategies for Corporate Acquisitions, Dispositions, Spin-Offs, Joint Ventures, Financings, Reorganizations & Restructurings 2008

Organizer: Practising Law Institute

Topic: Selected Seller and Buyer Issues Including the Tax Due Diligence Process; Negotiating and Drafting Tax Provisions in Acquisition Agreements; Financial Accounting Considerations; and State and Local Tax Issues
November 18-20, 2008

Chicago, IL

Fair Value for Financial Executives

Organizer: Financial Executives Institute
November 18, 2008

New York, NY

ABA Antitrust Section Fall Forum

Organizer: American Bar Association

Topic: Grading the Agencies - Merger Process Reform
November 14, 2008

Washington, D.C.

New Board Challenges in Financial Reporting

Organizer: Society of Corporate Secretaries and Governance Professionals
November 13, 2008

New York, NY

A Perspective on Fair Value Accounting

Organizer: Practicing Law Institute
November 12, 2008

New York, NY

Fall CLE Program

Organizer: New York Intellectual Property Law Association

Topic: In re Bilski: The Patentability of Business Methods Under 35 U.S.C. §101
November 7, 2008

New York, NY

2008 ELI Fall Practice Update

Organizer: Environmental Law Institute

Topic: Legal Issues Associated with "Going Green"
November 6, 2008

Washington, D.C.

Delaware Views from the Bench and Bar

Organizers: American Bankruptcy Institute and the Delaware State Bar Association

Topic: Third Circuit Update
November 3, 2008

Wilmington, DE

Perspectives on SEC Enforcement

Organizer:  District of Columbia Corporation, Finance and Securities Law Section/Broker-Dealer Regulation and SEC Enforcement Committee In Co-Sponsorship with the Litigation Section and Criminal Law and Individual Rights Section

Topic: Perspectives on SEC Enforcement
October 28, 2008

Washington, D.C.

Intellectual Property Academy

Organizer: Fudan University School of Law

Topic: Antitrust and Patent Misuse in the U.S.
October 28, 2008

Shanghai
China

Meeting of IPO and JIPA Delegations

Organizer: IPO, Japan Intellectual Property Association

Topic: Relationship Between Patent Misuse and Antitrust Law in the U.S.
October 23, 2008

Tokyo
Japan

ABCs of Swaps & Other Derivatives 2008

Organizer: Practising Law Institute

Topic: Mutual Fund and ERISA Plan Use of Derivatives
October 20, 2008

New York, NY

Promotional Material Workshop

Organizer: National Futures Association
October 20, 2008

New York, NY

Intellectual Property Conference

Organizers: IPO, PPAC, Quality Brand Protection Comm.

Topic: Relationship Between Patent Misuse and Antitrust Law in the U.S.
October 20 and 22, 2008

Beijing
China

Recent Developments Securities Litigation: The Defense Perspective

Organizer: Institute for Law & Economic Policy
October 17, 2008

Madison, WI

Securities Filings 2008

Organizer: Practising Law Institute

Topic: MD&A and the Annual Report to Shareholders
October 16-17, 2008

New York, NY

Negotiating & Documenting Derivatives Transactions

Organizer: City Bar

Topic: Introduction to Derivatives Documentation
October 16, 2008

New York, NY

Securities Litigation: Where are Things Heading?

Organizer: American International Group, Inc.
October 8, 2008

New York, NY

If You Can't Control The Wind, Adjust Your Sails

Willkie and NYU to Co-Sponsor Conference of Significant Interest to Private Fund Community
September 25, 2008

New York, NY

Hedge Fund Litigation Risk Management

Organizer: Willkie Farr & Gallagher LLP
September 25, 2008

New York, NY

Emerging Issues in Auditor Liability

Organizer: Practising Law Institute
September 15-16, 2008

New York, NY

Investment Company Institute Tax & Accounting Conference

Organizer: Investment Company Institute

Topic: Tax & Accounting Challenges Associated with Credit Markets
September 15, 2008

Chicago, Illinois

2008 Joint Fall CLE Meeting

Organizer: ABA Section of Taxation and the Section of Real Property, Trust & Estate Law, Trust & Estate Division

Topic: Auction Rate Securities: Tax Issues for Closed-End Funds
September 11-13, 2008

San Francisco, CA

Understanding the Securities Laws

Organizer: Practising Law Institute

Topic: Regulation of Proxy Solicitations
September 4-5, 2008

New York, NY

Solar Energy Conference

Organizer: 23rd European Photovoltaic Solar Energy Conference

Topic: Licensing Strategies for PV Technology: Maximize Your Investment
September 4, 2008

Valencia
Spain

American Bar Association's Business Law Section Meeting

Organizer: American Bar Association
August 2008

Renewable Energy Conference

Organizer: 10th World Renewal Energy Congress (WREC X)

Topic: Patents: Benefit or Barrier to Rapid Deployment of New Renewable Technologies?
July 23, 2008

Glasgow
United Kingdom

AMPs Lawsuit against Calamos Fund

Our firm held a teleconference to discuss the lawsuit begun against a closed-end fund on behalf of its auction market preferred shareholders.
May 29, 2008

New York, NY

Making Your Case: The Art of Persuading Judges

Organizer: Bloomberg Law

Topic:  Moderated a discussion on legal advocacy with Justice Antonin Scalia and Bryan A. Garner
May 28, 2008

New York, NY

2008 New York City Bankruptcy Conference Program

Organizer: American Bankruptcy Institute
May 12, 2008

New York, NY

Futures Industry Association Law & Compliance Division Workshop

Organizer: Futures Industry Association
May 2008

Baltimore, MD

Joint Patent Practice Seminar

Organizer: NY, NJ and Connecticut Intellectual Property Law Assocs.

Topic: Inducement of Infringement
April 2008

New York, NY

Advanced Licensing Institute

Organizer: Franklin Pierce Law Center

Topic: Antitrust Law
January 2008

Concord, NH

Regulation of Futures and Derivative Instruments

Organizer: American Bar Association
January 2008

San Juan
Puerto Rico

Fall CLE Program

Organizer: New York Intellectual Property Law Association

Topic: Seagate - Duty of Care and Waiver of Privilege
November 16, 2007

New York, NY

2007 - Views From the Bench Conference

Organizer: American Bankruptcy Institute
October 5, 2007

New York, NY

Regulatory Compliance Workshop for CPOs and CTAs

October 2007

Patent Reexaminations Seminar

Organizer: Practicing Law Institute

Topic: Patent Reexaminations and Preliminary Injunctions
August 2007

New York, NY

Joint Patent Practices Seminar

Organizer: New York, New Jersey and Connecticut Intellectual Property Law Associations

Topic: Injunctive Relief in the ITC
May 9, 2007

New York, NY

Futures Industry Association Law & Compliance Division Workshop

Organizer: Futures Industry Association

Topic: CFTC and SEC Asset Management Issues
May 2007

Baltimore, MD

CLE Program

Organizer: New York Intellectual Property Law Association

Topic: Preliminary Injunctions in Patent Litigation
March 2007

New York, NY

Mealey's (tm) Insurance & Reinsurance Corporate Counsel Conference

Organizer: Mealey's
September 28-29, 2006

Philadelphia, PA

Advanced Seminar on Trademark Law

Organizer: Practicing Law Institute

Topic: Intellectual Property in M&A Transactions
June 28, 2006

New York, NY

Asset Management Panel

Organizer:  FIA Law & Compliance Division Workshop

Topic:  Developments in Asset Management
May 11,2006

Baltimore, MD

Futures Industry Association Law & Compliance Division Workshop

Organizer: Futures Industry Association

Topic: Asset Management Panel
May 2006

Executive MBA Program

Organizer:  NYU Stern School
April 28, 2006

New York, NY

Guest Lecturer

Organizer:  Columbia Business School
April 19, 2006

New York, NY

Eighteenth Annual Corporate Law Institute

Organizer:  Tulane University Law School
March 23-24, 2006

New Orleans, LA

16-Hour Bridge-the-Gap

Organizer: New York City Bar Association

Topic: The New Bankruptcy Laws: An Executive Summary
March 16, 2006

New York, NY

Advanced Licensing Agreements - 2006

Organizer:  Practising Law Institute (PLI)

Topic:  "New Developments In The Application Of Antitrust Law To Patent-Holder Conduct"
March 7, 2006

2006 Private Placement Conference

Organizer:  Deutsche Bank

Topic:  Legal Aspects of Cross-Border Private Placements
March 1, 2006

Paris, France

Dendrite Corporation

Topics:  Directors' Duties and Liability: Key Developments; Crisis Management and Assessing Fraud Risk
February 3-4, 2006

Audit Quality & Litigation Risk

Organizer: New York City Bar Association
February 2, 2006

New York, NY

Managed Funds Association

February 2006

Key Biscayne, FL

20th Annual Law Seminar

Organizer: The Archdiocese of New York

Topics: Trusts: Planning with Domestic Asset-Protection Trusts; Revocable Trusts: Pros/Cons; Representing the Trustee of a Revocable Trust after the Death of The Death of the Grantor
January 28, 2006

New York, NY

A Guide to Mergers & Acquisitions 2006

Organizer: PLI

Topic: Role Playing - Negotiating the Purchase Agreement
January 23-24, 2006

New York, NY

Everything You Want To Know About Fidicuary Accounting But Were Afraid To Ask!

Organizer: City Bar Center for CLE
December 13, 2005

New York, NY

New Girls' Network Luncheon

Organizer: New Girls' Network

Topic: Advancement and Retention of Women - Do we still Need Programs to Address this, and if so, Why?
November 16, 2005
2:00 pm

New York, NY

Perspectives on Corporate Governance

Organizer: The Heyman Center on Corporate Governance; Benjamin N. Cardozo School of Law; Yeshiva University

Topic: Perspectives on Corporate Restructuring Trends for 2006
November 14, 2005

New York, NY

The New Bankruptcy Law: Understanding & Navigating the Maze of Changes Created by the New Law

Organizer: City Bar Center for CLE
November 10, 2005
9:00 am - 12:00 pm

New York, NY

Perspectives on Corporate Restructuring

Organizer: Benjamin N. Cardozo School of Law/Yeshiva University
November 8, 2005

New York, NY

The Law Firm Partner Compensation Forum

Organizer: The American Lawyer, LawFirmInc. and Harvard Business School Publishing
November 2-3, 2005

New York, NY

International Insolvency: What You Need to Know About Representing Multi-National Companies

Organizer: City Bar Center for CLE
October 28, 2005
9:00 am - 1:00 pm

New York, NY

Securities Filings 2005

Organizer: PLI

Topic: Annual Report to Stockholders
October 20-21, 2005

New York, NY

Views on the Accounting Profession

Organizer: AICPA
October 17, 2005

New York, NY

Audit Committee Worst Practices

Organizer: ALI-ABA
October 6, 2005

Washington, DC

Defending the White Collar Case: In and Out of Court

Topic: Pleas and Sentences
September 22-23, 2005

Washington, DC

Hot Topics in the Structured Finance Markets

Organizer: National Corporate Research
September 21, 2005

Accounting Litigation: The Eye of the Perfect Storm

Organizer: PLI
September 19, 2005

New York, NY

Litigation Skills Workshop: Taking & Defending Depositions

Organizer: CityBar Center for CLE
September 12-13, 2005

New York, NY

Regulatory Spotlight: New Rules, New Challenges, New Consequences

Organizer: North American Securities Administrators Association, Inc. (NASAA)

Topic: Hedge Advisor Registration
September 12, 2005

Minneapolis, MN

Forensic Accounting in the Present Environment

Organizer: KPMG LLP
August 10, 2005

Montreal, Cananda

How to Find It? Searching for Accounting Fraud in Today's Environment

Organizer: Fortune Magazine
August 8, 2005

New York, NY

Corporate Investigations: Avoiding the Pitfalls

Organizer: Standard & Poor's
June 13, 2005

New York, NY

Does Litigation Risk Improve Audit Quality

Organizer: The American Assembly - Columbia University
May 23, 2005

New York, NY

2005 May Meeting Committee Program

Organizer: American Bar Association Section of Taxation

Topic: U.S. Activities of Foreigners and Tax Treaties
May 20, 2005

Washington, DC

Bankruptcy Pro Bono Conference

Organizer: Association of the Bar of the City of New York

Topic: Bankruptcy Pro Bono - From the Trenches to the Supreme Court
May 18, 2005

MFA Bulletin Briefing

Organizer: Managed Funds Association

Topic: Implications of the Bankruptcy Abuse Prevention and Consumer Protection Act of 2005 for Hedge Funds
May 16, 2005

27th Annual Workshop

Organizer: Futures Industry Association
May 13, 2005

Baltimore, MD

Audit Committee Oversight of Financial Reporting

Organizer: Sotheby's
May 3, 2005

New York, NY

Trends in Securities Litigation: From Bad to Worse

Organizer: Risk and Insurance Management Society, Inc.
April 18, 2005

Philadelphia, PA

The Shift in Board Power Under Sarbanes-Oxley

Organizer: Duke Law School
April 11, 2005

Durham, NC

Ethical Issues Under the New Attorney Conduct Rules

Organizer: Duke Law School
April 11, 2005

Durham, NC

Going Private in a Public World / Devenir privé dans un monde public

Organizer: International Association of Young Lawyers / Association Internationale des Jeunes Avocats (aija)
March 11-12, 2005

New York, NY

The Role of the Audit Committee

Organizer: American Lawyer Media, Inc.
February 16, 2005

New York, NY

Fifth Annual Policy Conference: Critical Issues for Investment Management Company Directors - 2005

Topic: New Disclosure Rules for Advisory Contract Approvals and Portfolio Manager Compensation
February 16-17, 2005

Washington, DC

Panel on Managed Funds

Organizer: ABA Futures and Derivatives
February 4, 2005

Key West, FL

Ethical Issues in Securities Law

Organizer: CityBar Center for CLE
January 27, 2005

New York, NY

Behind the Scenes of a Restatement

Organizer: Business Week
January 27, 2005

New York, NY

NYSBA Tax Section Annual Meeting

Organizer: New York State Bar Association

Topic: Private Equity: Current Tax Issues
January 25, 2005

New York, NY

International Tax Law Series

Organizer: NYU School of Law

Topic: Recent Developments in U.S. Tax Treaty Policy Regarding Direct Dividends
January 21, 2005

New York, NY

Annual Corporate and Securities Law Update Program

Organizer: PLI
December 15, 2004

New York, NY

Going to Trial in a Securities Class Action

Organizer: Glasser LegalWorks
December 14, 2004

New York, NY

The Advanced Forum on Professional Liability

Organizer: American Conference Institute

Topic: How to Analyze Financial Statements and Processes to Evaluate Risks in Underwriting Professional Liability Insurance
December 6, 2004

New York, NY

16 Hour Bridge-the-Gap

Organizer: The Association of the Bar of the City of New York

Topic: Bankruptcy Basics
December 3, 2004
9:00 a.m. - 5:00 p.m.

New York, NY

Advanced Real Estate Practice

Organizer: NYSBA CLE

Topic: Negotiating the Interests of the Developer-Promoter and Institutional Investor
December 3, 2004

New York, NY

Bankruptcy, Workouts, and Reorganizations

Organizer: New York University School of Continuing and Professional Studies
September 28-November 30, 2004 (10 sessions)
Tuesdays, 6-8pm

New York, NY

CLE Fall One Day Program

Organizer: The New York Intellectual Property Law Association

Topic: Electronic Case Filing in the Southern District of New York
November 19, 2004

New York, NY

Annual Celebrity Dinner

Organizer: Rockland Business Association (RBA)

Topic: Issues surrounding the national elections and problems within New York State Government
November 17, 2004

Pearl River, NY

The Court in a New Age of Trade, Ethics and Automation

Organizer: 13th Judicial Conference of the United States Court of International Trade

Topic: Litigation and Automation
November 8, 2004

New York, NY

Avenue Capital Group

Topic: Where America stands and where we are headed, with relevant comments concerning the 2004 Presidential election.
November 3, 2004

New York, NY

Exposition

Organizer: Futures Industry Association

Topic: Developments for Hedge Funds
October 27, 2004

Chicago, IL

2004 Tax Practices for Private Equity Funds

Organizer: FRA

Topic: Avoiding UBTI and ECI: Tax Considerations for Tax-Exempt and Foreign Investors
October 26, 2004

New York, NY

Mortgage Bankers Association of America (MBA)

Topic: Joint presentation with Newt Gingrich.  Questions posed by moderator Charlie Rose.
October 25, 2004

San Francisco, CA

Avoiding the Next Enron

Organizer: KPMG LLP
October 25, 2004

McLean, VA

Advice From More Experts: More Successful Strategies from Winning Commercial Cases in Federal Courts

Organizer: NYSBA

Topic: Attorney-Client and Work-Product Privileges
October 22, 2004

New York, NY

Securities Filings 2004

Organizer: PLI
October 21-22, 2004

New York, NY

Venture Capital and Private Equity Tax Practices

Organizer: IIR

Topic: Emerging Alternatives to the Use of 'Blockers' to Avoid 'Bad Income' to Tax-Exempt and Foreign Investors in Private Equity Funds
October 19, 2004

Palo Alto, CA

Sarbanes-Oxley Institute: Corporate Governance, Financial Disclosure, Auditing and Other Issues

Organizer: ALI-ABA

Topic: Audit Committees
October 17, 2004

Washington, DC

Risk Management in the Present Environment

Organizer: SwissRe
October 14, 2004

Zurich, Switzerland

National Leadership Conference: A Summit of Sages

Organizer: University of Minnesota School of Nursing

Topic: The Paradox of Caring in Uncaring Times
October 11, 2004

St. Paul, MN

Hispanic National Bar Association Convention - Unidos en Neuva New York

October 9-12, 2004

New York, NY

Sarbanes-Oxley - Good or Bad

Organizer: ALI-ABA
October 7, 2004

Washington, DC

The Association for Corporate Growth (ACG)

Topic: The Nation's First Order of Business
September 29, 2004

Los Angeles, CA

The Conference Board Dialogue Session

Topic: The Fiduciary Duties of Directors
September 21, 2004

Anti-corruption and Anti-bribery

Organizer: TRACE International

Topic: Internal Investigations
September 17, 2004

Washington, DC

The Outside Auditor: Changing Attitudes Toward Risk

Organizer: PLI
August 13, 2004

New York, NY

Forensic Services and Audit

Organizer: KPMG LLP
August 2, 2004

New York, NY

Conference Call Presentation

Organizer: Atlas Venture Life Science

Topic: Liquity Alternatives: A Brief Overview of 'Blank Check' Offerings and Mergers into 'Public Shells'
July 29, 2004

Reston, VA

Summer Meeting

Organizer: NYSBA Tax Section

Topic: Current Developments in U.S. International Tax Law
July 28, 2004

Montreal, Canada

Chapter 11 Overview

Organizer: Association of the Bar of the City of New York

Topic: Leases and Executory Contracts
July 20, 2004

New York, NY

The Auditor & Fraud in the Present Environment

Organizer: Foundation for Accounting Education
June 24, 2004

New York, NY

International Cartel Investigations

Organizer: General Counsel Conference

Topic: Presentation on Criminal Antitrust Enforcement
June 15, 2004

New York, NY

International Tax Institute

Organizer: American Bar Association Section of Taxation

Topic: Multinational Divestitures and Acquisitions with Financial Buyers and Sellers
June 11, 2004

New York, NY

International Tax Institute

Organizer: American Bar Assoc. Tax Section, Fordham University School of Law

Topic: U.S. Tax Issues Relating to the Use of Debt Financing
June 11, 2004

New York, NY

Director Self-Protection in a Hostile Environment

Organizer: Directors Rountable
June 9, 2004

New York, NY

Raising Money for Wi-Fi

June 7, 2004

The Audit Committee Headache

Organizer: Forbes CFO Forum
May 20, 2004

New York, NY

The Origin of Financial Fraud

Organizer: PwC Healthcare Internal Audit Executive Roundtable
May 13, 2004

Phoenix, AZ

2004 NAREIT Law & Accounting Conference: REITs on the Beach

Organizer: National Association of Real Estate Investment Trusts

Topic: Beach Blanket Bingo: Mergers & Acquisitions
April 1, 2003

Hollywood, Florida

2004 Induction Ceremony

Organizer: American College of Bankruptcy

Topic: The Changing Faces of Chapter 11
March 20, 2004

Washington, DC

Today's Environment and Consequences for Officers and Directors

Organizer: Global Capital Markets - Duke
March 11, 2004

Durham, NC

Financial Executives in Today's Environment

Organizer: American International Group, Inc.
March 3, 2004

New York, NY

Mutual Fund Sales & Trading Practices

Organizer: American Conference Institute

Topic: Best Practices in Mutual Fund Corporate Governance
February 27, 2004

New York, NY

The Outside Auditor's Perspective

Organizer: NorthStar Conferences
February 27, 2004

New York, NY

The Future of the Accounting Profession

Organizer: Big Four Accounting Firms
February 15, 2004

New York, NY

International Taxation Program; Brown Bag Lunch Lecture Series

Organizer: NYU School of Law

Topic: Seminar on Multilateral Tax Treaties
February 13, 2004

New York, NY

Telecom Recovery - The Transition from Restructuring

Organizer: Law Seminars International

Topic: Perspectives on the Primary Forces Driving Telecom Industry Restructuring and Recovery; How Corporate Governance Reform Will Help Shape the Industry
February 12, 2004

Fort Lauderdale, FL

Annual Meeting of the NYSBA

Organizer: NYSBA Antitrust Law Section

Topic: Antitrust Injury: An Exercise in Legal Teleology
January 29, 2004

New York, NY

Internal Audit – Where It’s Been and Where It’s Going

Organizer: Metropolitan Transportation Authority
January 16, 2004

New York, NY

The Milton Handler Annual Antitrust Review

Organizer: Committee on Antitrust and Trade Regulation

Topic: Moderator of Program including Diane P. Wook, Dennis W. Carlton, Herbert Hovenkamp
December 1, 2003

Association of the Bar of the City of New York

Disclosure in Distress

Organizer: Association of the Bar of the City of New York

Topic: Overview of Legal Principles Affecting Disclosure
November 18, 2003

New York, NY

Ethical Issues in the Practice of Securities Law

Organizer: Citybar Center for CLE
November 18, 2003

New York, NY

Fall Meeting

Organizer: Tax Executives Institute

Topic: Some Concepts of E-Commerce Taxation
November 14, 2003

Morristown, NJ

Protecting Privilege in Perilous Times

Organizer: Bureau of National Affairs (BNA)

Topic: Practical Considerations in Protecting Privilege
November 7, 2003

New York, NY

Private Equity 5th Annual Forum: Legal & Financial Strategies for Dealmaking in the Current Market

Organizer: PLI

Topic: Fundamentals of Private Equity Investing; Private Equity Funds: Regulatory, Legislative and Tax Developments and Issues
October 30, 2003

New York, NY

The 11th Annual Master the Art of Negotiating the Modern Lease

Organizer: New York Law Journal & NEWMARK & Company Real Estate, Inc.

Topic: Prevailing Business and Legal Trends in Office Lease Negotiations
October 28, 2003

New York, NY

Financial Fraud and Corporate Governance

Organizer: N MetLife
October 28, 2003

Florham Park, NJ

Wireless Industry Conference

Organizer: The Wall Street Transcript
October 26, 2003

Princeton Club, NY

Securities Filings 2003

Organizer: PLI

Topic: Annual Report to Shareholders and Financial Disclosure in Annual Report and Form 10-K
October 23, 2003

New York, NY

VC & Private Equity Tax Practices

Organizer: Institute for International Research

Topic: Building the Optimum Investment Structure to Avoid UBTI and ECI in Pass-Through Entities
October 22, 2003

Palo Alto, CA

Venture Lending - How to think about and obtain debt and debt related financing for your portfolio companies

Organizer: Venture Investors Association of New York
October 21, 2003

New York, NY

Silicon Flatirons program on 'AT&T Case in Perspective'

Organizer: University of Colorado Law School

Topic: 'Reflections on the AT&T Case'
October 16, 2003

Colorado

Frankenstein – Accounting Fraud and its Repercussions

Organizer: American College of Investment Counsel
October 10, 2003

New York, NY

2003 Annual Meeting

Organizer: American College of Investment Counsel

Topic: Annual Meeting Co-Chairperson
October 9, 2003

Visiting Scholar

Organizer: Princeton University

Topic: The Law and Society
October 8, 2003

Princeton, NJ

Real Estate, the Economy and the Future

Organizer: New England Mortgage Bankers Association
September 25, 2003

Providence, RI

Real Estate and the Future

Organizer: Real Estate Appraisers of New York
September 24, 2003

New York, NY

Financial Reporting and the Board of Directors

Organizer: University of Minnesota
September 18, 2003

Minneapolis, MN

The Changing Role of Auditors

Organizer: PLI
September 15, 2003

New York, NY

Dedication of William H. Gates Sr. Building

Organizer: University of Washington Law School

Topic: The Rule of Law
September 12, 2003

Seattle, WA

Where Audit Committees Are Falling Short

Organizer: ALI-ABA
September 4, 2003

Washington, DC

Raising Money for Wi-Fi

September 3, 2003

Seattle, WA

Accounting Scandals: Is the Worst Behind Us?

Organizer: AIG
September 3, 2003

Stowe, VT

Tax Section Summer Meeting

Organizer: New York State Bar Association

Topic: Current Developments
July 26, 2003

Bolton Landing, NY

A Case Study in Financial Fraud

Organizer: Columbia Business School
July 8, 2003

New York, NY

Private Equity Tax Practices

Organizer: Institute for International Research

Topic: Identifying the Tax Issues in Debt Financing by Private Equity Funds with Convertible Debt
July 1, 2003

Boston, MA

NE Summer Meeting

Organizer: ABI

Topic: Cross Border Issues
June 24, 2003

Newport, RI

Secondary Liability After Enron

Organizer: American Conference Institute
June 24, 2003

New York, NY

CLE

Organizer: Association of the Bar of the City of New York

Topic: Overview of the Restructuring Process
June 19, 2003

New York, NY

A Retrospective on Sarbanes-Oxley and Its Effects on Boards of Directors

Organizer: Marsh
June 18, 2003

New York, NY

2003 Workshop

Organizer: The Council for the United States and Italy

Topic: Corporate Governance After a Critical Phase
June 13, 2003

Milan, Italy

2003 Corporate Governance Conference

Organizer: Center for Professional Education
June 9, 2003

Washington, DC

Financial Fraud: Are Better Times Ahead?

Organizer: Standard & Poor's
June 3, 2003

New York, NY

Directors' Institute

Organizer: NYU/NYSE

Topic: Corporate Governance - Director Liability Concerns
May 29, 2003

NYU Center for Law & Business

Audit Committee Investigations in Today's Environment

Organizer: American Conference Institute
May 29, 2003

New York, NY

Beating the Odds: Making Partner in a Challenging Economy

Organizer: Committee on Career Advancement and Management, ABCNY
May 21, 2003

New York, NY

Hedge Fund Conference

Organizer: Goldman Sachs
May 19, 2003

Key Biscayne, FL

Financial Reporting and the Board of Directors

Organizer: Old Dominion University
May 14, 2003

Norfolk, VA

The Investment Management Institute 2003 - A Seminar for '40 Act Lawyers

Organizer: PLI

Topic: The Sarbanes-Oxley Act of 2002 and Subsequent Rulemaking
May 12, 2003

New York, NY

25th Annual Workshop

Organizer: Futures Industry Association

Topic: Panel on Asset Management
May 9, 2003

Baltimore, MD

Representing Micro Entrepreneurs

Organizer: September 11 Legal Relief Initiative, ABCNY

Topic: Basics of Borrowing
May 8, 2003

New York, NY

Annual NY Conference

Organizer: American Bankruptcy Institute

Topic: Special Concerns in the 'Hot' Industries: Telecom, Transportation, Asbestos
May 5, 2003

New York, NY

Reinsurance Claims and Collections

Organizer: American Conference Institute

Topic: The Status of 9/11 Claims and How Reinsurers Are Responding
May 1, 2003

New York, NY

Securities Underwriting

Organizer: PLI

Topic: Underwriting Agreements
April 25, 2003

Effective Case Management

Organizer: AIG
April 16, 2003

New York, NY

Duke University

Topic: Sports Law
April 14, 2003

Durham, NC

Reinsurance Issues

Organizer: Renaissance Reinsurance Ltd.

Topic: Issues Relating to Run-Off Insurance and Reinsurance Companies
April 11, 2003

Hamilton, Bermuda

Introduction to Chapter 11

Organizer: Association of the Bar of the City of New York
April 10, 2003

New York, NY

Auditing in Today's Environment

Organizer: KPMG
April 10, 2003

New York, NY

SIA Compliance & Legal Division Seminar 2003

Organizer: SIA

Topic: Issues facing Investment Bankers in 2003
April 9, 2003

Trends in Securities Litigation

Organizer: Merrill Lynch
April 8, 2003

New York, NY

OpTech - Legal Issues for Operations

Organizer: Futures Industry Association
April 8, 2003

New York, NY

Sarbanes-Oxley Act: What Public Companies Need to Know

Organizer: OpenDialogue

Topic: Enhancing the Oversight Process & Improving the Odds of Early Detection
April 7, 2003

Toronto, Canada

NYU Stern School of Business

Topic: Corporate Governance
March 25, 2003

New York, NY

Creighton Law School

Topic: Issues Faced by Inside and Outside Counsel in Today's Environment
March 19, 2003

Omaha, NE

Financial Fraud: Origin, Aftermath & Avoidance

Organizer: MetLife
February 20, 2003

New York, NY

Major Restructuring in the Telecommunications Industry

Organizer: Law Seminars International

Topic: Reorganization Plans and Debtors in Possession
February 14, 2003

New York, NY

Principle-and-Rule-Based Accounting

Organizer: Baruch College
February 11, 2003

New York, NY

Panel on Managed Funds

Organizer: ABA Futures and Derivatives Committee
February 7, 2003

Key West, FL

The Outside Auditor and the Audit Committee

Organizer: PLI
February 6, 2003

Washington, DC

Financial Restatements: The Cause & Effect

Organizer: Professional Liability Underwriting Society
February 5, 2003

New York, NY

Guide to Mergers & Acquisitions 2003

Organizer: PLI
January 1, 2003