One of the most visible and highly-regarded securities and corporate law conferences in the country, the Securities Regulation Institute reaches prominent attorneys from both firm and in-house practices. From boardroom updates to issues impacting pre-public companies, the Institute focuses on practical advice for all attorneys advising corporate clients on the ever-changing world of securities and business law. During this three-day event, attendees learn from regulators who write the new regulations, judges who interpret the law to resolve complex disputes, and prominent practitioners who guide their clients through the maze of new legislation, regulations and jurisprudence.
Mayer Brown partner Christina Thomas will be speaking on the panel "Recurring Disclosure Challenges." Topics include:
- Complying with the new MD&A rules: What’s truly different?
- Transitioning ESG disclosures to ’34 Act reports
- "Information bundling"
- Updating cybersecurity disclosures
- Loss contingencies
- Human capital disclosures – learning from year one
Mayer Brown is a proud sponsor of the event.
For additional information or to register, please visit the event website.
Related Capabilities
Events
-
December 06 – 072023
Federal Regulation of Securities Winter Meeting 2023
American Bar Association -
November 302023