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Dodd-Frank Wall Street Reform and Consumer Protection Act: Law,
Explanation and Analysis provides comprehensive analysis of this
sweeping new banking and securities legislation. These historic reforms will
transform the way banks, hedge funds, credit rating agencies, broker-dealers,
investment advisers, accountants, public companies and other financial
institutions—and the attorneys who advise these entities—operate. Thus, a
comprehensive understanding of these changes will be vital to all participants
in the U.S. financial system. This definitive publication provides immediate
insight into the impact of the new law.
Written by the CCH editorial staff of banking and securities attorneys, the
1,600-plus page book explains every provision of this complex legislation,
providing over 600 pages of the analysis you need to understand the impact of
this historic legislation. Commentary includes discussion of the relevant
legislative history, including committee reports and floor remarks, detailed
citations to new and amended law sections, and editorial comments and caution
notes. This publication also features the full text of the legislation and
committee reports, tables of effective dates and statutes amended, and a
topical index.
Securities and Derivatives Reform in 2010: A Guide to the
Legislation provides comprehensive analysis of the securities,
derivatives and corporate governance provisions of the Dodd-Frank Wall
Street Reform and Consumer Protection Act. These historic reforms are
transforming the way hedge funds, credit rating agencies, broker-dealers,
investment advisers, futures commission merchants, clearing organizations,
auditors and public companies—and the attorneys who advise these entities—must
operate. A complement to the initial Law, Explanation and Analysis
, this follow-up book delves deeper into the SEC and CFTC aspects. It also
displays the Act provisions in two ways: (1) as passed; and (2) as codified
into existing laws (e.g., the relevant Exchange Act provisions, as amended).
Written by the CCH Editorial Staff of Securities Attorneys, the 1,630 page
book explains every provision of this complex legislation affecting the areas
of securities, derivatives and corporate governance. Another component is
commentary, guidance and best practices from leading practitioners in the
industry. These include members of our CCH Securities Law Advisory Board:
James Doty of Baker Botts LLP, Ralph Ferrara of Dewey & LeBoeuf and Simon
Lorne of Millennium Partners LP (all of whom are former SEC General Counsel)
as well as Andy Bernstein of Cleary Gottlieb Steen & Hamilton LLP, Ann Yerger,
Executive Director, Council of Institutional Investors; and Former Delaware
Vice Chancellor, Steven Lamb.
Explanation of the legislation includes analysis of the relevant legislative
history, detailed citations to new and amended law sections, editorial
comments and caution notes. Other features include: the full text of the
committee reports, tables of effective dates and statutes amended, and a
topical index.