List of Portfolios by Number
Portfolio 1-4th: The Delaware Corporation: Legal Aspects of
Organization and Operation
Portfolio 7-3rd: Corporate Stock Repurchases and Going Private
Portfolio 9-4th: Practice Under the Occupational Safety and
Health Act
Portfolio 12-5th: The Annual Meeting of Shareholders
Portfolio 14-3rd: Business Uses of the Freedom of
Information Act
Portfolio 15-4th: Inside Information: Prevention of
Abuse
Portfolio 16-5th: Regulation of Corporate Political Activity
Portfolio 19-3rd: The Sale of Corporate Control
Portfolio 22-4th: Attorney-Client Privilege and Work-Product
Doctrine: Corporate Applications
Portfolio 25-2nd: Corporate Lobbying: Federal and State Regulation
Portfolio 33-3rd: Annual Reporting Under the Federal
Securities Laws
Portfolio 38-4th: Appraisal Rights in Mergers and Consolidations
Portfolio 40-3rd: Employment Discrimination Law
Portfolio 42-1st: Reductions in Force
Portfolio 46-3rd: Resales of Restricted Securities Under SEC
Rules 144 and 144A
Portfolio 49-5th: Audit Committees
Portfolio 54-2nd: Indemnification and Insurance for Directors
and Officers
Portfolio 55-2nd: The Ohio Corporation: Legal Aspects of Organization and Operation
Portfolio 62-2nd: ESOPs in Corporate Transactions
Portfolio 63-2nd: The Board of Directors
Portfolio 66-2nd: Antitrust Aspects of Joint Ventures
Portfolio 73-2nd: Compensation Committees
Portfolio 74-2nd: Unclaimed Property
Portfolio 75-1st: Stock Options and Other Equity-Based Compensation
Arrangements
Portfolio 77-3rd: The SEC Enforcement Process: Practice and Procedure in Handling an SEC Investigation in the Sarbanes-Oxley Era
Portfolio 78-1st: The Takeover Law of Delaware
Portfolio 79-1st: Special Committees of Independent Directors
Portfolio 80-1st: Protecting the Corporate Creditor Under the Bankruptcy
Code
Portfolio 81-1st: Corporate Minutes
Portfolio 82-1st: Third-Party Legal Opinions
Portfolio 83-1st: Shareholder Proposals
Portfolio 84-1st: Doing Business in States Other Than the State of Incorporation (Alabama Through Michigan)
Portfolio 85-1st: Doing Business in States Other Than the State of Incorporation (Minnesota Through Wyoming)
Portfolio 86-1st: Records Retention for Enterprise Knowledge Management
Portfolio 87-1st: Legal Ethics for In-House Corporate Counsel
Portfolio 88-1st: Executive Employment Agreements
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List of Portfolios by Subject Area
Boards of Directors, Committees of the Board,
and Shareholder Meetings
The Annual Meeting of Shareholders (No. 12-5th)
Audit Committees (No. 49-5th)
The Board of Directors (No. 63-2nd)
Compensation Committees (No. 73-2nd)
Corporate Minutes (No. 81-1st)
Indemnification and Insurance for Directors and Officers (No.
54-2nd)
Shareholder Proposals (No. 83-1st)
Special Committees of Independent Directors (No. 79-1st)
Corporate Law and Transactions
Antitrust Aspects of Joint Ventures (No. 66-2nd)
Appraisal Rights in Mergers and Consolidations (No. 38-4th)
Attorney-Client Privilege and Work-Product Doctrine: Corporate
Applications (No. 22-4th)
Business Uses of the Freedom of Information Act (No. 14-3rd)
Corporate Stock Repurchases and Going Private (No. 7-3rd)
The Delaware Corporation: Legal Aspects of Organization and Operation (No. 1-4th)
Doing Business in States Other Than the State of Incorporation (Alabama Through Michigan) (No. 84-1st)
Doing Business in States Other Than the State of Incorporation (Minnesota Through Wyoming) (No. 85-1st)
ESOPs in Corporate Transactions (No. 62-2nd)
Executive Employment Agreements (No. 88-1st)
Legal Ethics for In-House Corporate Counsel (No. 87-1st)
Protecting the Corporate Creditor Under the Bankruptcy Code
(No. 80-1st)
Records Retention for Enterprise Knowledge Management (No. 86-1st)
The Sale of Corporate Control (No. 19-3rd)
The Takeover Law of Delaware (No. 78-1st)
Third-Party Legal Opinions (No. 82-1st)
Unclaimed Property (No. 74-2nd)
Corporate Political Activity
Corporate Lobbying: Federal and State Regulation (No. 25-2nd)
Regulation of Corporate Political Activity (No. 16-5th)
Human Resources
Employment Discrimination Law (No. 40-3rd)
Practice Under the Occupational Safety and Health Act (No.
9-4th)
Reductions in Force (No. 42-1st)
Securities
Annual Reporting Under the Federal Securities Laws (No. 33-3rd)
Inside Information: Prevention of Abuse (No. 15-4th)
Resales of Restricted Securities Under SEC Rules 144 and
144A (No. 46-3rd)
The SEC Enforcement Process: Practice and Procedure in Handling an SEC Investigation in the Sarbanes-Oxley Era (No. 77-3rd)
Stock Options and Other Equity-Based Compensation Arrangements
(No. 75-1st)
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