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Meet the Authors of the Corporate Practice Library on the
Web
Use the links below to navigate the list of
authors by subject area:
The authors of the Corporate Practice Series portfolios
are experienced practitioners writing about areas of the law in
which they have considerable expertise, such as:
A. Gilchrist Sparks III, Morris, Nichols, Arsht & Tunnell
LLP, co-author of the portfolio on Delaware corporations;
William H. Minor, DLA Piper US LLP, author of the portfolio
on corporate lobbying: federal and state regulation;
Colleen P. Mahoney, Skadden, Arps, Slate, Meagher & Flom LLP,
co-author of the portfolio on the SEC enforcement process:
practice and procedure in handling an SEC investigation in the
Sarbanes-Oxley era;
Tonny K. Ho, Willkie Farr & Gallagher LLP, co-author of the
portfolio on protecting the corporate creditor under the
bankruptcy code;
Arthur Fleischer Jr., Fried, Frank, Harris, Shriver &
Jacobson LLP, co-author of the portfolio on responses to takeover
bids; and
Phillip A. Proger, Jones Day, co-author of the portfolio on
antitrust aspects of mergers and acquisitions.
More than 200 legal experts author CPS portfolios. Many
of these lawyers work at some of the most prominent law firms in the
country, including:
|
Davis Wright Tremaine LLP |
Reed Smith LLP |
|
Skadden, Arps, Slate, Meagher & Flom LLP |
Baker & Hostetler LLP |
|
Orrick, Herrington & Sutcliffe LLP |
Sheppard, Mullin, Richter & Hampton LLP |
|
Clifford Chance LLP |
Bingham McCutchen LLP |
|
Schiff Hardin LLP |
DLA Piper US LLP |
|
Dechert LLP |
Arent Fox PLLC |
|
Sonnenschein Nath & Rosenthal LLP |
Fried, Frank, Harris, Shriver &
Jacobson |
|
McDermott, Will & Emery |
Morris, Nichols, Arsht & Tunnell
LLP |
| Blank Rome LLP |
Willkie Farr & Gallagher LLP |
| Richards, Layton & Finger |
Ropes & Gray LLP |
| Weil, Gotshal & Manges LLP |
Miles & Stockbridge P.C. |
| Covington & Burling LLP |
Winston & Strawn LLP |
| Jenner & Block LLP |
Adorno & Yoss |
|
Dewey & LeBoeuf LLP |
McGuire Woods LLP |
|
Latham & Watkins LLP |
Jones Day |
|
Steptoe & Johnson LLP |
Dorsey & Whitney LLP |
Portfolios focusing on the corporate law in specific
states are authored by practitioners who have expertise in the law
of those states, such as:
| John R. Alexander |
Sayles &
Evans Elmira, New York |
The New York Corporation: Legal
Aspects of Organization & Operation (No. 2-3rd) |
| Jeffrey B. Rotwitt |
Philadelphia, Pennsylvania
Obermayer Rebmann Maxwell & Hippel
LLP Philadelphia, Pennsylvania |
The Pennsylvania Corporation:
Legal Aspects of Organization & Operation (No.
30-3rd) |
| Clifford A. Roe,
Jr. |
Dinsmore &
Shohl LLP Cincinnati, Ohio |
The Ohio Corporation:
Legal Aspects of Organization and Operation (No.
55-2nd) |
| Jonathan C. Guest |
Greenberg Traurig,
LLP Boston, Massachusetts |
The Massachusetts Corporation:
Legal Aspects of Organization & Operation (No.
64-2nd) |
| Kenneth B. Abel |
Ober, Kaler, Grimes &
Shriver Baltimore, Maryland |
The Maryland Corporation: Legal
Aspects of Organization & Operation (No.
71-2nd) |
Some authors work as in-house counsel at major
corporations, such as Honeywell International, Inc., Parker-Hannifin
Corporation, AETNA, Inc., Exxon Mobil Corporation, and General
Motors Corporation.
CORPORATE PRACTICE LIBRARY
AUTHORS
|
ANTITRUST AND
TRADE REGULATION |
|
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Back
to top |
| Davidow, Joel |
Kile Goekjian Reed &
McManus Washington, D.C. |
Antitrust Guide for
International Business Activities (35-3rd) |
| Chen, Yang |
Constantine Cannon New
York, New York |
State Antitrust Law
(52-2nd) |
Griffin, Joseph
P. (1944-2000) |
Morgan, Lewis &
Bockius, LLP Washington, D.C. |
U.S. International
Antitrust Enforcement: A Practical Guide to the Agencies' 1995
Guidelines (53-2nd) |
| Hannay, William M. |
Schiff Hardin
LLP Chicago, Illinois |
Tying Arrangements:
Practice Under Federal Antitrust, Patent, and Banking Law
(39-2nd) and U.S. International Antitrust Enforcement: A
Practical Guide to the Agencies' 1995 Guidelines
(53-2nd) |
| Huston, Peter K. |
Latham & Watkins
LLP San Francisco, California |
Manual of Federal
Trade Commission Practice (21-4th) |
| MacLeod, William C. |
Kelley Drye & Warren LLP Washington, D.C. |
Trade Associations
and the Antitrust Laws (32-3rd) |
| Mahoney, Stacey Anne |
Gibson Dunn & Crutcher New
York, New York |
State Antitrust Law
(52-2nd) |
| Maravel, Alexandra |
Torrington,
Connecticut |
Foreign Unfair
Competition: Practice and Procedure (28-4th) |
| Montgomery, William A. |
Schiff Hardin
LLP Chicago, Illinois |
Tying Arrangements:
Practice Under Federal Antitrust, Patent, and Banking Law
(39-2nd) |
| Newman, Bevin M.B. |
Jones Day Washington,
D.C. |
Antitrust Aspects of
Mergers and Acquisitions (56-3rd) |
| Piraino, Thomas A. |
Parker-Hannifin
Corporation Cleveland, Ohio |
Antitrust Aspects of
Joint Ventures (66-2nd) |
| Proger, Phillip A. |
Jones Day Washington,
D.C. |
Antitrust Aspects of
Mergers and Acquisitions (56-3rd) |
| Rossides, Eugene T. |
Washington, D.C. |
Foreign Unfair
Competition: Practice and Procedure (28-4th) |
| Scher, Irving |
Weil, Gotshal &
Manges LLP New York, New York |
Living with the
Robinson-Patman Act (76-1st) |
| Zanfagna, Gary P. |
Honeywell International,
Inc. Morristown, New Jersey |
Antitrust Aspects of
Mergers and Acquisitions (56-3rd) |
|
|
|
|
|
|
|
CORPORATE AND
SECURITIES |
|
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Back
to top |
| Adams, John T. |
Rose Law Firm, a
Professional Association Little Rock, Arkansas |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Adelstein, Michael A. |
Schulte Roth & Zabel
LLP New York, New York |
Protecting the
Corporate Creditor Under the Bankruptcy Code
(80-1st) |
| Alexander, Frederick
H. |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
The Delaware
Corporation: Legal Aspects of Organization & Operation
(1-4th) |
| Ashcraft, Martha J. |
Lewis and Roca LLP Las
Vegas, Nevada |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Audigier, Christina
E. Norland |
Duane Morris LLP
Philadelphia, Pennsylvania |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Auerbach, Daniel J. |
Browning, Kaleczyc, Berry
and Hoven, P.C. Helena, Montana |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Baker, Darren C. |
Schiff Hardin LLP Chicago, Illinois |
The Annual
Meeting of Shareholders (12-5th) |
| Bancroft, Margaret A. |
Dechert LLP New York,
New York |
Avoiding
Classification as an Investment Company: Exemptions and
Exclusions for Business Corporations (65-2nd) |
| Barnes, Maxwell N. |
Miller Johnson Grand
Rapids, Michigan |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Berkley, E. Carolan |
Stradley Ronon Stevens,
LLP Philadelphia, Pennsylvania |
Third-Party Legal
Opinions (82-1st) |
| Bernstein, Jerry D. |
Blank
Rome LLP
New York, New York |
Audit Committees
(49-5th) |
| Betts, Janet G. |
Holme Roberts & Owen LLP Scottsdale, Arizona |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Biffar, Travis S. |
Jones Day Irvine,
California |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Bizar, Steven E. |
Buchanan Ingersoll &
Rooney, PC Philadelphia, Pennsylvania |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Blum, Jeffrey S. |
Deloitte Tax
LLP Pittsburgh, Pennsylvania |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Braun, Robert E. |
Jeffer, Mangels, Butler
& Marmaro LLP Los Angeles & San Francisco,
California |
Records Retention for
Enterprise Knowledge Management (86-1st) |
| Bricknell, Sarah M. |
Duane Morris
LLP Philadelphia, Pennsylvania |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Bridgeman, Andrea L. |
Freddie Mac McLean,
Virginia |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Bridgeman, Randy A. |
Bell, Boyd & Lloyd
LLC Chicago, Illinois |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Callahan, Nancy |
American International
Group, Inc. New York, New York |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Candelmo, Stephen P. |
Arent Fox
PLLC Washington, D.C. |
Annual Reporting
Under the Federal Securities Laws (33-3rd) |
| Capwell, Jeffrey R. |
McGuire Woods LLP Washington, D.C. and Charlotte, North Carolina |
Compensation Committees
(73-2nd) |
| Cernak, Steven J. |
General Motors
Corporation Detroit, Michigan |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Cohen, Barbara S. |
Winograd, Shine & Zachs,
P.C. Providence, Rhode Island |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Cohen, Ross N. |
Haskell
Slaughter Young & Rediker, LLC Birmingham,
Alabama |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Dale, Eric J. |
Robinson & Cole LLP
Hartford, Connecticut |
Doing Business in States
Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Daley, Susan J. |
Perkins Cole LLP Chicago, Illinois |
Securities Law
Aspects of Employee Benefit Plans (44-4th) |
Daly, Mary C. (1947-2008) |
St. John's University
School of Law Queens, New York |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Davis, Geoffrey A. |
Zuckerman Spaeder
LLP Washington, D.C. |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Deamer, Bartley C. |
Bingham McCutchen
LLP Silicon Valley, California |
Negotiated
Acquisitions (61-2nd) |
| Dennehy, Frederick J. |
Wilentz, Goldman &
Spitzer P.A. Woodbridge, New Jersey |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Devaney IV, Daniel H. |
Cades Schutte
LLP Honolulu, Hawaii |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Dion, Faye A. |
Aetna Inc. Hartford,
Connecticut |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Drimmer, Jonathan C. |
Steptoe & Johnson
LLP Washington, D.C. |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Dodge, David D. |
Lorona, Steiner, Ducar,
Coughlin & Horowitz, PLLC Phoenix,
Arizona |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Duncan, Meredith J. |
University of Houston Law
Center Houston, Texas |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Dyekman, Gregory C. |
Dray, Thomson &
Dyekman, P.C. Cheyenne, Wyoming |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Dyer, Meggan E. |
Warner Norcross &
Judd LLP Muskegon, Michigan |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Egle, James B. |
Stafford Rosenbaum
LLP Madison, Wisconsin |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Elkanich, David J. |
Hinshaw & Culbertson
LLP Portland, Oregon |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Ellison, Scott W. |
Cook Little Rosenblatt &
Manson P.L.L.C. Manchester, New Hampshire |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Ellsworth, Larry P. |
Jenner & Block LLP
Washington, D.C. |
Inside Information:
Prevention of Abuse (15-4th) |
| Faust, Quentin |
Andrews Kurth
LLP Dallas, Texas |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Feis, Gregory S. |
Law Offices of Gregory S.
Feis Washington, D.C. |
Negotiated
Acquisitions (61-2nd) |
| Finkelstein, Jesse A. |
Richards, Layton &
Finger Wilmington, Delaware |
Appraisal Rights in
Mergers and Consolidations (38-4th) |
| Fleischer Jr., Arthur |
Fried, Frank, Harris,
Shriver & Jacobson New York, New York |
Responses to Takeover
Bids: Corporate, SEC, Tactical, and Fiduciary Considerations
(6-3rd) |
| Gartner, Steven J. |
Willkie Farr &
Gallagher LLP New York, New York |
Corporate Minutes
(81-1st) |
| Gay, Brandon K. |
Covington & Burling LLP
Washington, D.C. |
Shareholder
Proposals (83-2nd) |
| Gibson, Stanley M. |
Jeffer, Mangels, Butler
& Marmaro LLP Los Angeles & San Francisco,
California |
Records Retention for
Enterprise Knowledge Management (86-1st) |
| Genkin, Barry H. |
Blank Rome
LLP Philadelphia, Pennsylvania |
Audit Committees
(49-5th) |
| Gold, Michael A. |
Jeffer, Mangels, Butler
& Marmaro LLP Los Angeles & San Francisco,
California |
Records Retention for
Enterprise Knowledge Management (86-1st) |
| Goldberg, Michael R. |
Winograd, Shine & Zachs,
P.C. Providence, Rhode Island |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Greenstein, Louis D. |
Skadden, Arps, Slate,
Meagher & Flom LLP Washington, D.C. |
The SEC Enforcement
Process: Practice and Procedure in Handling an SEC
Investigation in the Sarbanes-Oxley Era (77-3rd) |
| Grippo, Theodore W. |
Chicago, Illinois |
Corporate Stock
Repurchases and Going Private (7-3rd) |
| Gumbs, Keir D. |
Covington &
Burling LLP Washington, D.C. |
Shareholder Proposals
(83-2nd) |
| Hafter, Matthew I. |
Grippo & Elden
LLC Chicago, Illinois |
Corporate Stock
Repurchases and Going Private (7-3rd) |
| Hamilton, David Ley |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Hammitt, Harry, A. |
Access Reports,
Inc. Lynchburg, Virginia |
Business Uses of the
Freedom of Information Act (14-3rd) |
| Hanks, Sara |
Clifford Chance
LLP New York, New York |
Regulation S: The Safe
Harbor for Offshore Securities Transactions (58-3rd) |
| Hapka, Christopher |
Buchanan Ingersoll &
Rooney, PC Philadelphia, Pennsylvania |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Harley, Colin K. |
Harley & Deickler
LLP Woodbury, Connecticut |
The Sale of Corporate
Control (19-3rd) |
| Harpen, Shawn M. |
Jones Day Irvine,
California |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Hazard, Jr., Geoffrey C. |
University of California
Hastings College of Law San Francisco, California |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Hazen, Steven K. |
Los Angeles,
California |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Hill, Louise L. |
Widener University School
of Law Wilmington, Delaware |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Hirschfeld, Alyssa J. |
Gray, Plant, Mooty &
Bennett, P.A. Minneapolis, Minnesota |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Ho, Tonny K. |
Willkie Farr &
Gallagher LLP New York, New York |
Protecting the
Corporate Creditor Under the Bankruptcy Code
(80-1st) |
| Houghton, Michael |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
Unclaimed Property
(74-2nd) |
| Huberty, James J. |
Walker Wilcox Matousek
LLP Chicago, Illinois |
Indemnification and
Insurance for Directors and Officers (54-2nd) |
| Hudson, Robert A. |
Butzel Long Detroit,
Michigan |
Initial Public
Offerings (60-2nd) |
| Hurd, S. Mark |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
Special Committees of
Independent Directors (79-1st) |
| Ide, R. William |
McKenna Long &
Aldridge LLP Atlanta, Georgia |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Jackson, Paul R. |
Warner Norcross &
Judd LLP Muskegon, Michigan |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Jarvis, Peter R. |
Hinshaw & Culbertson
LLP Portland, Oregon |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Johnson, Phillip E. |
Johnson & Webbert,
L.L.P. Augusta, Maine |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Johnston, Andrew M. |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
Special Committees of
Independent Directors (79-1st) |
| Jundt, Valerie M. |
Thomson Reuters
Bismarck, North Dakota |
Unclaimed Property
(74-2nd) |
| Kaleczyc, Stanley T. |
Browning, Kaleczyc, Berry
and Hoven, P.C. Helena, Montana |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Kaplan, Jared |
McDermott Will &
Emery Chicago, Illinois |
ESOPs in Corporate
Transactions (62-2nd) |
| Keesee, Jr., R. Neal |
Woods Rogers
PLC Roanoke, Virginia |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Kim, David |
Bell, Boyd & Lloyd
LLC Chicago, Illinois |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Kim, Joanie Y. |
Nintendo of America, Inc.
Redmond, Washington |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Kittrell, Steven D. |
McGuire Woods LLP Washington, D.C. and Charlotte, North Carolina |
Compensation Committees
(73-2nd) |
| Landau, Eric |
Jones Day Irvine,
California |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Lander, Guy P. |
Carter Ledyard &
Milburn LLP New York, New York |
Resales of Restricted
Securities Under SEC Rules 144 and 144A (46-3rd) |
| Laster, J. Travis |
Abrams & Laster
LLP Wilmington, Delaware |
Appraisal Rights in
Mergers and Consolidations (38-4th) |
| Lawrence, Andrew M. |
Skadden, Arps, Slate,
Meagher & Flom LLP Washington, D.C. |
The SEC Enforcement
Process: Practice and Procedure in Handling an SEC
Investigation in the Sarbanes-Oxley Era (77-3rd) |
| Lee, Charles S. |
Chevron
Corporation San Ramon, California |
Negotiated
Acquisitions (61-2nd) |
| Lehman, Mark E. |
Parsons Behle &
Latimer, A Professional Corporation Salt Lake City, Utah |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Lenet, Sara C. |
Thacher Profitt &
Wood LLP New York, New York |
Doing
Business in States Other Than the State of Incorporation
(Alabama Through Michigan) (84-1st) |
| Lipman, Frederick D. |
Blank Rome
LLP Philadelphia, Pennsylvania |
Audit Committees
(49-5th) |
| Lowman, Michael K. |
Jenner & Block LLP
Washington, D.C. |
Inside Information:
Prevention of Abuse (15-4th) |
| Lucas, Susan E. |
Curtis Thaxter Stevens
Broder & Micoleau LLC Portland, Maine |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| MacDonald, Geoffrey |
Miami, Florida |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Mahoney, Colleen P. |
Skadden, Arps, Slate,
Meagher & Flom LLP Washington, D.C. |
The SEC Enforcement
Process: Practice and Procedure in Handling an SEC
Investigation in the Sarbanes-Oxley Era (77-3rd) |
| Maldonado, Kirk F. |
Denver, Colorado |
Securities Law
Aspects of Employee Benefit Plans (44-4th) |
| Malone, Eva-Marie |
Pro Bono Institute at
Georgetown University Law Center Washington, D.C. |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Mamalian, Paul |
Apptis, Inc. Chantilly,
Virginia |
Annual Reporting
Under the Federal Securities Laws (33-3rd) |
| Margolis, Adam |
American International
Group, Inc. New York, New York |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Markus, Carl M. |
Lashly & Baer,
P.C. St. Louis, Missouri |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Martin, Alson R. |
Lathrop & Gage L.C. Overland Park, Kansas |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Mason IV, William A. |
Gravel and Shea, A
Professional Corporation Burlington, Vermont |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Matousek, Paul F. |
Walker Wilcox Matousek
LLP Chicago, Illinois |
Indemnification and
Insurance for Directors and Officers (54-2nd) |
| Matthews, Marsha |
McDermott, Will &
Emery Washington, D.C. |
ESOPs in Corporate
Transactions (62-2nd) |
| Mattoon, Joe |
Davis Wright Tremaine
LLP Portland, Oregon |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| McCauley, James M. |
Virginia State
Bar Richmond, Virginia |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Meister, Margaret
Lewis |
Modrall, Sperling, Roehl,
Harris, & Sisk P.A. Albuquerque, New Mexico |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Metz, B. Lafe |
Buchanan Ingersoll &
Rooney PC Pittsburgh, Pennsylvania |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Miller, Nicholas G. |
Hawley Troxell Ennis
& Hawley LLP Boise, Idaho |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Miller, Richard T. |
Schiff Hardin LLP Chicago, Illinois |
The Annual
Meeting of Shareholders (12-5th) |
| Mittelman, David T. |
Reed Smith LLP
San Francisco, California |
Shareholder
Proposals (83-2nd) |
| Mittman, Robert J. |
Blank Rome
LLP Philadelphia, Pennsylvania |
Audit Committees
(49-5th) |
| Montgomery, Peggy O. |
Exxon Mobil
Corporation Houston, Texas |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Morrison Jr., John W. |
Fleck, Mather &
Strutz, Ltd. Bismarck, North Dakota |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Moskin, Morton |
New York, New York |
Third-Party Legal
Opinions (82-1st) |
| Okoro, Ony |
Dorsey & Whitney LLP New
York, New York |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Olson, Tricia T. |
Adams and Reese
LLP Memphis, Tennessee |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Osibodu, Josiah S. |
Thomson Reuters Pittsburgh, Pennsylvania |
Unclaimed Property
(74-2nd) |
| Ousterhout, Donald G. |
Reed Smith LLP San Francisco, California |
Doing Business in States Other Than the State
of Incorporation (Alabama Through Michigan)
(84-1st) |
| Paolillo, Mark A. |
Thomson Reuters Boston, Massachusetts |
Unclaimed Property
(74-2nd) |
| Parke, David A. |
Bulkley, Richardson &
Gelinas, LLP Springfield, Massachusetts |
The Massachusetts
Corporation: Legal Aspects of Organization and Operation
(64-2nd) and Doing Business in States Other Than the State
of Incorporation (Alabama Through Michigan) (84-1st) |
| Peisner, Michael B. |
Curtis Thaxter Stevens
Broder & Micoleau LLC Portland, Maine |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Pera, Lucian T. |
Adams and Reese
LLP Memphis, Tennessee |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Peters, Philip W. |
Farella Braun & Martel LLP San Francisco, California |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Phillips, C. William |
Covington & Burling
LLP New York, New York |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Phillips, Mackenzie K. |
Winston & Strawn LLP Chicago, Illinois |
The Board of
Directors (63-2nd) |
| Plourde, Ross |
McAfee & Taft, A
Professional Corporation Oklahoma City, Oklahoma |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Porter, James H. |
Miller & Martin
PLLC Nashville, Tennessee |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Pulvers, Roy |
Hinshaw & Culbertson
LLP Portland, Oregon |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Quinterri, Denise M. |
Phoenix,
Arizona |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Ramo, Roberta Cooper |
Modrall, Sperling, Roehl,
Harris, & Sisk P.A. Albuquerque, New Mexico |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Ramos, Gregory J. |
Sherman & Howard
L.L.C. Denver, Colorado |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Reader, David I. |
Keller and Heckman
LLP Washington, D.C. |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Reece, Joseph |
Davis Wright Tremaine
LLP Anchorage, Alaska |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Reider, Suzanne D. |
Steptoe & Johnson
LLP Washington, D.C. |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Rhodes, Allison D. |
Hinshaw & Culbertson
LLP Portland, Oregon |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Robinson, Jr., J. Michael |
Kantrow, Spaht, Weaver
& Blitzer (A Professional Law Corporation) Baton Rouge,
Louisiana |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Roe, Jr., Clifford A. |
Dinsmore & Shohl,
LLP Cincinnati, Ohio |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Rowe, Susan L. |
Charlotte School of
Law Charlotte, North Carolina |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Runyon, Eve L. |
Pro Bono Institute at
Georgetown University Law Center Washington, D.C. |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Rutledge, Thomas E. |
Stoll Keenon Ogden
PLLC Louisville, Kentucky |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Salky, Steven M. |
Zuckerman Spaeder
LLP Washington, D.C. |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Schwartz, Erich T. |
Skadden, Arps, Slate,
Meagher & Flom LLP Washington, D.C. |
The SEC Enforcement
Process: Practice and Procedure in Handling an SEC
Investigation in the Sarbanes-Oxley Era (77-3rd) |
| Sedor, Dan P. |
Jeffer, Mangels, Butler
& Marmaro LLP Los Angeles & San Francisco,
California |
Records Retention for
Enterprise Knowledge Management (86-1st) |
| Shapiro, David B. |
Spilman Thomas &
Battle, PLLC Charleston, West Virginia |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Shriver, Ernest P. |
Fafinski Mark & Johnson,
P.A. Minneapolis, Minnesota |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Silver, Carole |
Northwestern
University School of Law Chicago, Illinois |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Smith, Craig B. |
Smith, Katzenstein &
Furlow Wilmington, Delaware |
The Takeover Law of
Delaware (78-1st) |
| Smith, Laura Chalk |
Robinson, Bradshaw &
Hinson, P.A. Charlotte, North Carolina |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Solomon, Jordan S. |
Gibbons P.C. Newark, New Jersey |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Sparks III, A. Gilchrist |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
The Delaware
Corporation: Legal Aspects of Organization and Operation
(1-4th) |
| Spiess, Virginia E. |
Robinson & Cole LLP
Hartford, Connecticut |
Doing Business in States
Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| St. Ville, Thomas J. |
Miles & Stockbridge
P.C. Baltimore, Maryland |
Stock Options and
Other Equity-Based Compensation Arrangements
(75-1st) |
| Stephens, Thomas R. |
Bartlit Beck Herman
Palenchar & Scott LLP Denver, Colorado |
Beneficial Ownership
Reporting: Schedules 13D and 13G (68-1st) |
| Susman, Thomas M. |
American Bar
Association Washington, D.C. |
Business Uses of the
Freedom of Information Act (14-3rd) |
| Sussman, Alexander R. |
Fried, Frank, Harris,
Shriver & Jacobson New York, New York |
Responses to Takeover
Bids: Corporate, SEC, Tactical, and Fiduciary Considerations
(6-3rd) |
| Tellam, Bradley F. |
Stoel Rives
LLP Portland, Oregon |
Legal Ethics for
In-House Corporate Counsel (87-1st) |
| Toker, Donald L. |
Crowell & Moring
LLP Washington, D.C. |
Initial Public
Offerings (60-2nd) |
| Toth, Bruce A. |
Winston & Strawn
LLP Chicago, Illinois |
The Board of
Directors (63-2nd) |
| Tuthill, Walter C. |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
Unclaimed Property
(74-2nd) |
| Tysse, G. William |
McGuire Woods LLP Washington, D.C. and Charlotte, North Carolina |
Compensation Committees
(73-2nd) |
| Valihura, Karen L. |
Skadden, Arps, Slate,
Meagher & Flom LLP Wilmington, Delaware |
Attorney-Client
Privilege and Work-Product Doctrine: Corporate Applications
(22-4th) |
| Valihura Jr., Robert J. |
Robert J. Valihura, Jr.,
P.A. Wilmington, Delaware |
Attorney-Client
Privilege and Work-Product Doctrine: Corporate Applications
(22-3rd) |
| Vogelsmeier, Stuart J. |
Lashly & Baer,
P.C. St. Louis, Missouri |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Vosburg, Bruce D. |
Fitzgerald, Schorr,
Barmettler & Brennan, P.C., L.L.O. Omaha, Nebraska |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Walker, Charles F. |
Skadden, Arps, Slate,
Meagher & Flom LLP Washington, D.C. |
The SEC Enforcement
Process: Practice and Procedure in Handling an SEC
Investigation in the Sarbanes-Oxley Era (77-3rd) |
| Wanamaker, Bruce D. |
Ledbetter Johnson
Wanamaker Glass LLP Atlanta, Georgia |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Ward, J. Marc |
Dickinson Mackaman
Tyler & Hagen, P.C. Des Moines, Iowa |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Wardwell, William C. |
Hawley Troxell Ennis
& Hawley LLP Boise, Idaho |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Washburn, J. David |
Andrews Kurth
LLP Dallas, Texas |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Wilson, Stephen M. |
Phelps Dunbar
LLP Jackson, Mississippi |
Doing Business in
States Other Than the State of Incorporation (Minnesota
Through Wyoming) (85-1st) |
| Windle, Gwen L. |
Haskell
Slaughter Young & Rediker, LLC Birmingham,
Alabama |
Doing Business in
States Other Than the State of Incorporation (Alabama Through
Michigan) (84-1st) |
| Yamate, Gordon T. |
Santa Clara University,
School of Law Santa Clara, California |
Negotiated
Acquisitions (61-2nd) and Legal Ethics for In-House
Corporate Counsel (87-1st) |
| Young, Alexander B. |
Schiff Hardin LLP Chicago, Illinois |
The Annual
Meeting of Shareholders (12-5th) |
|
|
|
|
CORPORATE
POLITICAL ACTIVITY |
|
|
Back
to top |
| Gross, Kenneth A. |
Skadden, Arps, Slate,
Meagher & Flom LLP Washington, D.C. |
Regulation of
Corporate Political Activity (16-5th) |
| Hong, Ki P. |
Skadden, Arps, Slate,
Meagher & Flom LLP Washington, D.C. |
Regulation of
Corporate Political Activity (16-5th) |
| Minor, William H. |
DLA Piper US
LLP Washington, D.C. |
Corporate Lobbying:
Federal and State Regulation (25-2nd) |
|
|
|
|
ENVIRONMENT |
|
|
Back
to top |
| Brothers, Lynda L. |
Sonnenschein Nath &
Rosenthal LLP San Francisco, California |
Avoiding Liability
for Hazardous Waste: RCRA, CERCLA, and Related Corporate Law
Issues (57-2nd) |
| Fort, Jeffrey C. |
Sonnenschein Nath &
Rosenthal LLP Chicago, Illinois |
Avoiding Liability
for Hazardous Waste: RCRA, CERCLA, and Related Corporate Law
Issues (57-2nd) |
| Franzetti, Susan M. |
Franzetti Law Firm,
P.C. Chicago, Illinois |
Avoiding Liability
for Hazardous Waste: RCRA, CERCLA, and Related Corporate Law
Issues (57-2nd) |
| Yost, Nicholas C. |
Sonnenschein, Nath &
Rosenthal LLP San Francisco, California |
The Environmental
Impact Statement Process (27-2nd) |
|
|
|
|
FINANCIAL
REPORTING |
|
|
Back
to top |
| Beil, Frank J. |
University of
Minnesota Minneapolis, Minnesota |
Revenue Recognition:
Fundamental Principles (5100) |
| Benke, Ralph |
James Madison
University Elkton, Virginia |
Business Combinations:
Goodwill and Other Intangible Assets (5115) |
| Braver, Samuel W. |
Buchanan Ingersoll
PC Pittsburgh, Pennsylvania |
Preparing for and
Defending Accounting Liability Litigation (5500) |
| Chavis, Betty M. |
California State
University-Fullerton
|
Accounting for
Share-Based Compensation (5109) |
| Davidson, Kristi A. |
Buchanan Ingersoll
PC New York, New York |
Preparing for and
Defending Accounting Liability Litigation (5500) |
| Glad, David |
Buchanan Ingersoll
PC Pittsburgh, Pennsylvania |
Preparing for and
Defending Accounting Liability Litigation (5500) |
| Gold, Leon P. |
Proskauer Rose LLP New
York, New York |
The Liability of
Accountants to Non-Clients for Professional Malpractice
(5501) |
| Grossman, Mary |
Burlington, Wisconsin |
Accounting for
Disclosure of Derivative Instruments (5112) |
| Henkel, Michelle M. |
Alston & Bird
LLP Atlanta, Georgia |
Sarbanes-Oxley:
Auditor Independence (5502) |
| Johnson, Christian |
Salt Lake City, Utah |
Accounting for
Disclosure of Derivative Instruments (5112) |
| Kawaller, Ira |
Kawaller &
Company Brooklyn, New York |
Accounting for
Disclosure of Derivative Instruments (5112) |
| Ketz, J. Edward |
Penn State
University, Smeal College of Business |
Fair Value
Measurements: Valuation Principles and Auditing Techniques
(5127) |
| Krock, Gregory J. |
Buchanan Ingersoll
PC Pittsburgh, Pennsylvania |
Preparing for and
Defending Accounting Liability Litigation (5500) |
| Lane, Brian J. |
Gibson Dunn &
Crutcher LLP
|
Management's
Discussion and Analysis (5107) |
| Lorne, Simon |
Millennium Partners,
LP New York, New York |
Internal Controls:
Sarbanes-Oxley Act §404 and Beyond
(5402) |
| Mallek, J. Randolph |
Buchanan Ingersoll
PC Washington, D.C. |
Revenue Recognition:
Fundamental Principles (5100) |
| Mande, Vivek |
California State
University-Fullerton |
Accounting for
Share-Based Compensation (5109) |
| Marmorstein, Howard |
University of
Miami Hollywood, Florida |
Accounting Principles
and Financial Statements (5116) |
| McEwen, Ruth |
Boston, Massachusetts |
Earnings Per Share
(5137) |
| McPhee, Gillian R. |
Gibson Dunn &
Crutcher LLP Washington, D.C. |
Management's
Discussion and Analysis (5107) |
| Prather, Andrea |
Alston & Bird
LLP Washington, DC |
Sarbanes-Oxley:
Auditor Independence (5502) |
| Rezaee, Zabihollah |
The University of
Memphis |
Audit Committee
Oversight Effectiveness Post Sarbanes-Oxley Act
(5401) |
| Robinson, Thomas |
CFA Institute Miami,
Florida |
Accounting Principles
and Financial Statements (5116) |
| Ruland, William |
New York, New York |
Management's
Discussion and Analysis (5107) |
| Schultz, Jeffrey |
Millennium Partners,
LP New York, New York |
Internal Controls:
Sarbanes-Oxley Act §404 and Beyond
(5402) |
| Smalley, Kathleen |
Loeb & Loeb,
LLP Los Angeles, California |
Internal Controls:
Sarbanes-Oxley Act §404 and Beyond
(5402) |
| Spinogatti, Richard |
Proskauer Rose LLP New
York, New York |
The Liability of Accountants to
Non-Clients for Professional Malpractice (5501) |
| Starczewski, Lisa M. |
Phoenixville,
Pennsylvania |
Revenue Recognition:
Fundamental Principles (5100) |
| Steinberg, Reva |
BDO Seidman,
LLP Chicago, Illinois |
Accounting and
Disclosure for Derivative Instruments (5112) |
| Wang, Leonard W. |
Washington, D.C. |
Managing Risk in the
SEC Financial Reporting Process (5503); A Strategic Approach
to SEC Investigation (5504); Strategies for an Individual
Involved in an SEC Financial Reporting Investigation (5505);
Corporate Governance of the Financial Reporting Process
(5506) |
| Wheeler, Charles W. |
Alston & Bird
LLP Washington, DC |
Sarbanes-Oxley:
Auditor Independence (5502) |
| Zyla, Mark L. |
Acuitas Inc. Atlanta,
Georgia |
Fair Value
Measurements: Valuation Principles and Auditing Techniques
(5127) |
|
|
|
|
FORM OF
BUSINESS |
|
|
Back
to top |
| Anderson, Roger D. |
Smith, Katzenstein &
Furlow LLP Wilmington, Delaware |
Limited Partnerships:
Legal Aspects of Organization, Operation, and Dissolution
(24-4th) |
| Ausbrook, Perry C. |
DLA Piper US
LLP Washington, D.C. |
Franchising:
Regulation of Buying and Selling a Franchise
(34-2nd) |
| Ely, Bruce P. |
Bradley Arant Boult
Cummings LLP Birmingham, Alabama |
Choice of Entity:
Legal Considerations of Selection (50-4th) |
| Grissom, Christopher
R. |
Bradley Arant Boult
Cummings LLP Birmingham, Alabama |
Choice of Entity:
Legal Considerations of Selection (50-4th) |
| Harris, David A. |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
Limited Liability
Companies: Legal Aspects of Organization, Operation, and
Dissolution (67-2nd) |
| Hering, Louis G. |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
Limited Liability
Companies: Legal Aspects of Organization, Operation, and
Dissolution (67-2nd) |
| Smith, Craig B. |
Smith, Katzenstein &
Furlow LLP Wilmington, Delaware |
Limited Partnerships:
Legal Aspects of Organization, Operation, and Dissolution
(24-4th) |
| Stevenson, Stanford L. |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
Limited Liability
Companies: Legal Aspects of Organization, Operation, and
Dissolution (67-2nd) |
|
|
|
|
INTELLECTUAL
PROPERTY |
|
|
Back
to top |
| Cohen, Jerry |
Burns & Levinson
LLP Boston, Massachusetts |
Trademarks and
Related Unfair Competition Law (18-4th) |
| Pappas, Edward H. |
Dickinson Wright
PLLC Bloomfield Hills, Mich. |
Trade Secrets:
Protection and Remedies (43-3rd) |
| Quick, Daniel D. |
Dickinson Wright
PLLC Bloomfield Hills, Mich. |
Trade Secrets:
Protection and Remedies (43-3rd) |
|
|
|
|
|
|
|
LABOR AND
EMPLOYMENT |
|
|
Back
to top |
| Azoff, Elliot S. |
Baker & Hostetler,
LLP Cleveland, Ohio |
Practice and
Procedure Before the National Labor Relations Board
(41-4th) |
| Dowd, Glen W. |
Day Pitney LLP New
Haven, Connecticut |
Reductions in
Force (42-1st) |
| Grant, David A. |
Baker & Hostetler,
LLP Washington, D.C. |
Practice and
Procedure Before the National Labor Relations Board
(41-4th) |
| Hunter, Darren J. |
Dewey & LeBoeuf
LLP Chicago, Illinois |
Practice Under the
Occupational Safety and Health Act (9-4th) |
| Joffe, Beth G. |
Employee Relations/Human
Resources Consultant
Madison, Wisconsin |
Employment
Discrimination Law (40-3rd) |
| Kramer, Ronald J. |
Seyfarth Shaw
LLP Chicago, Illinois |
Employment
Discrimination Law (40-3rd) |
| Murphy, Betty Southard |
Baker & Hostetler,
LLP Washington, D.C. |
Practice and
Procedure Before the National Labor Relations Board
(41-4th) |
| Ocker, Jonathan M. |
Orrick, Herrington &
Sutcliffe LLP San Francisco, California |
Executive Employment
Agreements (88-1st) |
| Reicher, Thomas Z. |
Cooley Godward Kronich
LLP San Francisco, California |
Reductions in
Force (42-1st) |
| Schick, Gregory C. |
Sheppard, Mullin, Richter
& Hampton LLP San Francisco, California |
Executive Employment
Agreements (88-1st) |
| Springer, Felix J. |
Day Pitney
LLP Hartford, Connecticut |
Reductions in
Force (42-1st) |
|
|
|
|
SELECTED STATES'
CORPORATE LAW |
|
|
Back
to top |
| Abel, Kenneth B. |
Ober, Kaler, Grimes &
Shriver Baltimore, Maryland |
The Maryland
Corporation: Legal Aspects of Organization & Operation
(71-2nd) |
| Alexander, Frederick
H. |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
The Delaware
Corporation: Legal Aspects of Organization & Operation
(1-4th) |
| Alexander, John R. |
Sayles &
Evans Elmira, New York |
The New York
Corporation: Legal Aspects of Organization & Operation
(2-3rd) |
| Guest, Jonathan C. |
Greenberg Traurig,
LLP Boston, Massachusetts |
The Massachusetts
Corporation: Legal Aspects of Organization and Operation
(64-2nd) |
| Peters, Philip W. |
Farella Braun & Martel LLP San Francisco, California |
The California
Corporation: Legal Aspects of Organization and Operation
(31-3rd) |
| Roe, Jr., Clifford A. |
Dinsmore & Shohl,
LLP Cincinnati, Ohio |
The Ohio Corporation:
Legal Aspects of Organization and Operation
(55-2nd) |
| Rotwitt, Jeffrey B. |
Obermayer Rebmann Maxwell
& Hippel LLP Philadelphia, Pennsylvania |
The Pennsylvania
Corporation: Legal Aspects of Organization and Operation
(30-3rd) |
| Sparks III, A. Gilchrist |
Morris, Nichols, Arsht
& Tunnell LLP Wilmington, Delaware |
The Delaware
Corporation: Legal Aspects of Organization and Operation
(1-4th) | | |
 |
|
FEATURED
AUTHORS

Frederick H. Alexander The Delaware Corporation
(1-4th) Morris,
Nichols, Arsht & Tunnell LLP
Wilmington, Delaware
 John R.
Alexander The New York Corporation: Legal Aspects of
Organization & Operation (2-3rd) Sayles &
Evans, Elmira, NY

Darren C. Baker The Annual Meeting of Shareholders (12-5th) Schiff Hardin LLP Chicago, Illinois
 E. Carolan Berkley Third-Party Legal
Opinions (82-1st) Stradley Ronon Stevens,
LLP, Philadelphia, Penn.
 Jason L. Booth The
Board of Directors (63-2nd) DLA Piper US
LLP, Chicago, Ill.

Robert E. Braun
Records Retention for Enterprise Knowledge Management (86-1st)
Jeffer, Mangels, Butler &
Marmaro LLP Los Angeles & San Francisco, Calif.
 Lynda
L. Brothers Avoiding Liability for Hazardous Waste:
RCRA, CERCLA, and Related Corporate Law Issues (57-2nd)
Sonnenschein Nath & Rosenthal LLP, San Francisco,
Calif.
 Stephen P. Candelmo Annual Reporting
Under the Federal Securities Laws (33-3rd) Arent Fox
PLLC, Washington, D.C.

Jeffrey R. Capwell
Compensation Committees (73-2nd) McGuire Woods LLP Washington, D.C. and Charlotte, North Carolina
 Jerry Cohen Trademarks and Related Unfair
Competition Law (18-4th) Burns & Levinson LLP, Boston,
Mass.
 Joel
Davidow Antitrust Guide for International Business
Activities (35-3rd) Kile Goekjian Reed
& McManus, Washington, D.C.

Jonathan C. Drimmer Legal Ethics for
In-House Corporate Counsel (87-1st) Steptoe & Johnson
LLP Washington, D.C.

Larry P. Ellsworth
Inside Information: Prevention of Abuse (15-4th)
Jenner & Block LLP
Washington, D.C.
 Arthur Fleischer Jr. Responses to
Takeover Bids: Corporate, SEC Tactical, and Fiduciary Considerations
(6-3rd) Fried, Frank, Harris, Shriver &
Jacobson, New York, N.Y.
 Jeffrey
C. Fort Avoiding Liability for Hazardous Waste:
RCRA, CERCLA, and Related Corporate Law Issues (57-2nd)
Sonnenschein Nath & Rosenthal LLP, Chicago, Ill.
 Susan
M. Franzetti Avoiding Liability for Hazardous Waste:
RCRA, CERCLA, and Related Corporate Law Issues (57-2nd)
Franzetti Law Firm, P.C., Chicago, Ill.
 Steven J. Gartner Corporate
Minutes (81-1st) Willkie Farr & Gallagher
LLP, New York, N.Y.

Brandon K. Gay Shareholder Proposals (83-2nd)
Covington & Burling LLP, Washington, D.C.
 Barry H. Genkin Audit
Committees (49-5th) Blank Rome LLP, Philadelphia,
Penn.
 Stanley M. Gibson Records Retention for
Enterprise Knowledge Management (86-1st) Jeffer,
Mangels, Butler & Marmaro LLP Los Angeles and San
Francisco, Calif.
 Michael A. Gold Records Retention for
Enterprise Knowledge Management (86-1st) Jeffer,
Mangels, Butler & Marmaro LLP Los Angeles and San
Francisco, Calif.
 Kenneth A. Gross Regulation of
Corporate Political Activity (16-5th) Skadden, Arps, Slate,
Meagher & Flom LLP Washington, D.C.
 Jonathan C. Guest The
Massachusetts Corporation: Legal Aspects of Organization and
Operation (64-2nd) Greenberg Traurig, LLP, Boston,
Mass.
 Keir
D. Gumbs Shareholder
Proposals (83-2nd) Covington &
Burling LLP, Washington, D.C.
 Matthew
I. Hafter Corporate Stock Repurchases and Going
Private (7-3rd) Grippo & Elden LLC, Chicago, Ill.

Harry Hammitt Business Uses of the Freedom of
Information Act (14-3rd) Access Reports, Inc.
Lynchburg, Virginia

Sara Hanks Regulation S: The Safe Harbor for Offshore
Securities Transactions (58-3rd) Clifford Chance LLP,
New York, New York
 William
M. Hannay Tying Arrangements: Practice Under Federal
Antitrust, Patent, and Banking Law (39-2nd) and U.S.
International Antitrust Enforcement: A Practical Guide to the
Agencies' 1995 Guidelines (53-2nd) Schiff Hardin
LLP, Chicago, Ill.
 Ki P. Hong Regulation of Corporate
Political Activity (16-5th) Skadden, Arps, Slate, Meagher
& Flom LLP Washington, D.C.
 Robert A. Hudson Initial Public
Offerings (60-2nd) Butzel Long, Philadelphia,
Penn.

Darren J. Hunter Practice Under the Occupational
Safety and Health Act (9-4th) Dewey & LeBoeuf LLP
Chicago, Illinois
 S. Mark Hurd Special Committees
of Independent Directors (79-1st) Morris, Nichols, Arsht
& Tunnell LLP, Wilmington, Del.
 Peter K.
Huston Manual of Federal Trade Commission
Practice (21-4th) Latham & Watkins LLP, San
Francisco, Calif.

Beth G. Joffe
Employment Discrimination Law (40-3rd)
Employee Relations/Human Resources Consultant
Madison, Wisconsin
 Andrew M. Johnston Special
Committees of Independent Directors (79-1st) Morris,
Nichols, Arsht & Tunnell LLP, Wilmington, Del.

Steven D. Kittrell
Compensation Committees (73-2nd)
McGuire Woods LLP Washington, D.C. and Charlotte, North Carolina

Ronald J. Kramer
Employment Discrimination Law (40-3rd)
Seyfarth Shaw LLP
Chicago, Illinois

Guy P. Lander Resales of Restricted Securities Under
SEC Rules 144 and 144A (46-3rd) Carter Ledyard &
Milburn LLP, New York, New York
 Frederick D. Lipman Audit Committees
(49-5th) Blank Rome LLP, Philadelphia, Penn.

Michael K. Lowman
Inside Information: Prevention of Abuse (15-4th)
Jenner & Block LLP
Washington, D.C.

William C. MacLeod Trade Associations and the
Antitrust Laws (32-3rd) Kelley Drye Collier Shannon Washington, D.C.
 Colleen P. Mahoney The SEC Enforcement
Process: Practice and Procedure in Handling an SEC Investigation in
the Sarbanes-Oxley Era (77-3rd) Skadden, Arps, Slate,
Meagher & Flom LLP, Washington, D.C.
 Stacey Anne Mahoney State
Antitrust Law (52-2nd) Gibson Dunn & Crutcher New York,
N.Y.
 Paul F.
Matousek Indemnification and Insurance for Directors
and Officers (54-2nd) Walker Wilcox Matousek LLP, Chicago,
Ill.

Richard T. Miller
The Annual Meeting of Shareholders (12-5th)
Schiff Hardin LLP Chicago, Illinois
 William
H. Minor Corporate Lobbying: Federal and State
Regulation (25-2nd) DLA Piper US LLP, Washington,
D.C.

David T. Mittelman Shareholder Proposals (83-2nd)
Reed Smith LLP, San Francisco, California

Robert J. Mittman Audit Committees (49-5th) Blank
Rome LLP
Philadelphia, Pennsylvania
 Betty Southard Murphy Practice and
Procedure Before the National Labor Relations Board (41-4th)
Baker & Hostetler, LLP, Washington, D.C.

Bevin M.B. Newman Antitrust Aspects of Mergers and
Acquisitions (56-3rd) Jones Day
Washington, D.C.

Jonathan M. Ocker
Executive Employment Agreements (88-1st)
Orrick, Herrington & Sutcliffe LLP San Francisco, California
 Edward H. Pappas Trade Secrets:
Protection and Remedies (43-3rd) Dickinson Wright
PLLC, Bloomfield Hills, Mich.
 David A. Parke The Massachusetts
Corporation: Legal Aspects of Organization & Operation (64-2nd)
and Doing Business in States Other Than the State of
Incorporation (Alabama Through Michigan) (84-1st) Bulkley,
Richardson & Gelinas, LLP, Springfield, Mass.

Philip W. Peters The California Corporation: Legal
Aspects of Organization and Operation (31-3rd) Farella
Braun & Martel LLP San Francisco, California

Phillip A. Proger Antitrust Aspects of Mergers and
Acquisitions (56-3rd) Jones Day
Washington, D.C.
 Daniel D. Quick Trade Secrets:
Protection and Remedies (43-3rd) Dickinson Wright
PLLC, Bloomfield Hills, Mich.

Suzanne D. Reider Legal Ethics for In-House
Corporate Counsel (87-1st) Steptoe & Johnson LLP,
Washington, D.C.
 Clifford A. Roe,
Jr. The Ohio
Corporation: Legal Aspects of Organization and Operation (55-2nd)
and Doing Business in States Other Than the State of
Incorporation (Minnesota Through Wyoming) (85-1st)
Dinsmore & Shohl, LLP, Cincinnati, Ohio
 Jeffrey B. Rotwitt The Pennsylvania
Corporation: Legal Aspects of Organization and Operation
(30-3rd) Obermayer Rebmann Maxwell & Hippel LLP,
Philadelphia, Penn.

Irving Scher
Living with
the Robinson-Patman Act (76-1st)
Weil, Gotshal & Manges LLP, New York, N.Y.

Gregory C. Schick
Executive Employment Agreements (88-1st)
Sheppard, Mullin,
Richter & Hampton LLP San Francisco, California
 Erich
T. Schwartz The SEC Enforcement Process: Practice
and Procedure in Handling an SEC Investigation in the
Sarbanes-Oxley Era (77-3rd) Skadden, Arps, Slate,
Meagher & Flom LLP, Washington, D.C.
 Dan
P. Sedor Records Retention for
Enterprise Knowledge Management (86-1st) Jeffer, Mangels,
Butler & Marmaro LLP Los Angeles & San Francisco,
Calif.
 A.
Gilchrist Sparks III The Delaware Corporation: Legal
Aspects of Organization and Operation (1-4th) Morris,
Nichols, Arsht & Tunnell LLP, Wilmington, Del.
 Thomas J. St. Ville Stock Options and
Other Equity-Based Compensation Arrangements (75-1st) Miles
& Stockbridge P.C., Baltimore, Md.
 Thomas
R. Stephens Beneficial Ownership Reporting:
Schedules 13D and 13G (68-1st) Bartlit Beck Herman
Palenchar & Scott LLP, Denver, Colo.
 Thomas M. Susman Business Uses
of the Freedom of Information Act (14-3rd) American Bar
Association Washington, D.C.
 Alexander R. Sussman Responses to
Takeover Bids: Corporate, SEC, Tactical, and Fiduciary
Considerations (6-3rd) Fried, Frank, Harris, Shriver &
Jacobson, New York, N.Y.

Donald L. Toker Initial Public Offerings (60-2nd)
Crowell & Moring LLP, Washington, D.C.
 Bruce A. Toth The Board
of Directors (63-2nd) Winston & Strawn
LLP, Chicago, Ill.

G. William Tysse
Compensation Committees (73-2nd)
McGuire Woods LLP Washington, D.C. and Charlotte, North Carolina
 Karen
L. Valihura Attorney-Client Privilege and
Work-Product Doctrine: Corporate Applications (22-4th)
Skadden, Arps, Slate, Meagher & Flom LLP, Wilmington,
Del.
 Charles
F. Walker The SEC Enforcement Process: Practice and
Procedure in Handling an SEC Investigation in the Sarbanes-Oxley
Era (77-3rd) Skadden, Arps, Slate, Meagher & Flom
LLP, Washington, D.C.
 Nicholas
C. Yost The Environmental Impact Statement
Process (27-2nd) Sonnenschein, Nath & Rosenthal
LLP, San Francisco, Calif.

Alexander B. Young The Annual Meeting of
Shareholders (12-5th) Schiff Hardin LLP Chicago, Illinois
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