2011 Supplement for the Securities Law Deskbook

By Herrick K. Lidstone

Securities Law Deskbook: For Business Lawyers, Public Accountants, and Corporate Management is a practical reference guide to securities law, in one convenient volume

Greenwood Village, CO – April 29, 2011 – Herrick K. Lidstone, Jr. a shareholder at Burns, Figa & Will, P.C., announced today a new supplement to his Securities Law Deskbook: For Business Lawyers, Public Accountants, and Corporate Management.

The Securities Law Deskbook is a practical reference guide to securities law, in one convenient volume. With 17 chapters and hundreds of citations to securities rules, statutes, and cases, it is an essential tool for researching securities regulation, litigation, compliance issues, and much more.

The 2011 Supplement to the Securities Law Deskbook includes extensive discussion of new laws, regulations, and cases impacting the practitioner of federal securities law. Here is what is new:

  • Changes to investment adviser regulation as a result of the Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 ("Dodd-Frank Act"). 

    New interpretations of when promissory notes and other instruments should be considered to be securities subject to federal and state securities laws.
  • Amendments to the definition of "accredited investor" and to the eligibility to use Regulation D as a result of Section 413 of the Dodd-Frank Act. 
  • New cases discussing potential liability for forecasts that prove to be wrong.
  • New SEC interpretations on the applicability of the federal registration requirements to persons who thought they were "finders" and not subject to the registration requirements.
  • New interpretations of the Rule 144 amendments as applicable to shell companies and former shell companies.
  • SEC enforcement rules as impacted by the Dodd-Frank Act and recent contradictory developments in "obey-the-law" injunctions.
  • Recent developments in the enforceability of pre-dispute arbitration agreements, and the implications of Section 921 of the Dodd-Frank Act which gives authority to the SEC to "prohibit, or impose conditions or limitations on the use of" pre-dispute arbitration agreements involving any broker, dealer, municipal securities dealer, or investment adviser.
  • Impact of the United States Supreme Court's "foreign cubed" decision, and the Dodd-Frank Act's reaction thereto.
  • Discussion of other Supreme Court cases impacting securities regulation, including Merck v. Reynolds finding that in applying the statute of limitations "storm warnings" are not sufficient but "discovery" "encompasses not only those facts the plaintiff actually knew, but also those facts a reasonably diligent plaintiff would have known."
  • Rejection of the "media defense" in Bank of America Corp. and other cases.
  • Updates on the regulations surrounding Rule 10b5-1 plans.
  • How the tender offer rules impact private companies.
  • Impact of the Dodd-Frank Act's say-on-pay, say-when-on-pay, proxy access, and other proxy provisions and NYSE Rule 452.

The book may be purchased from Bradford Publishing for $165.00 and the 2011 supplement for $58.50. For more information about the Securities Law Deskbook or the continuing education course, contact Bradford Publishing Co. 800-446-2831 or cle@bradfordpublishing.com.

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About the Author
Herrick K. Lidstone, Jr. is a shareholder of Burns, Figa & Will, P.C., and P.C., in Greenwood Village, Colorado. He practices in the areas of business transactions, including corporate law, federal and state securities compliance, mergers and acquisitions, contract law, tax law, real estate law, and natural resources law. Mr. Lidstone's work includes the preparation of securities disclosure documents for financing transactions, as well as agreements for business transactions, partnerships, lending transactions, real estate and mineral property acquisitions, mergers, and the exploration and development of mineral and oil and gas properties. For more information visit www.bfwlaw.com