January 23, 2012 |
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Amy Schulman ‘89, Executive Vice President and General Counsel, President and General Manager, Nutrition, Pfizer Inc., “The Evolving M&A Landscape and the Role of General Counsel.”
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January 30, 2012 |
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Thomas H. Bell ‘83, Partner, Corporate Department, Simpson Thacher & Bartlett LLP, “Private Equity vs. Hedge Funds: What Is Different and Why?”
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February 6, 2012 |
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Jonathan A. Knee ‘88, Senior Managing Director, Evercore Partners, “The Investment Banker as ‘Trusted Advisor’: Obstacles and Aspirations.”
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February 13, 2012 |
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David M. Zornow ‘80, Partner and Global Head, Litigation/Controversy practices and head, NY White Collar Crime Group, Skadden, Arps, Slate, Meagher & Flom LLP, “A Tough Pill To Swallow: Attempting to Criminalize Channel Stuffing in US v. Schiff/ The Defense Perspective.”
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February 20, 2012 |
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Benjamin F. Stapleton III ‘69, Senior Counsel and member, Mergers and Acquisitions Group, Sullivan & Cromwell LLP, “The Acquisition by British Petroleum of Amoco.”
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February 27, 2012 |
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Winter Lecture. Stephen A. Ross, Franco Modigliani Professor of Financial Economics and Professor of Economics, Sloan School of Management, MIT, “Regression to the Max: The Use and Abuse of Financial Theory in Legal Disputes and Regulation.”
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March 5, 2012 |
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James R. Doty ‘69, Chairman, Public Company Accounting Oversight Board, “Auditor Regulation and Corporate Governance and Practice: PCAOB Concept Releases and Proposals on Auditor Reporting, Independence and Communications.”
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March 19, 2012 |
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David Nimmer ‘80, Of Counsel, Irell & Manella LLP and Professor from Practice, UCLA School of Law, “Orphans in Alexandria.”
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March 26, 2012 |
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Raben/Sullivan & Cromwell Lecture. H. Rodgin Cohen, Partner and Senior Chairman, Sullivan & Cromwell LLP, “The Financial Crisis and the Regulatory Response.”
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April 9, 2012 |
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James C. Vardell III ‘80, Partner, Corporate Department, Cravath, Swaine & Moore LLP, “Introduction to Syndicated Bank Financings.”
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April 16, 2012 |
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John M. Townsend ‘71, Partner and Co-Chair, Arbitration & ADR Group, Hughes Hubbard & Reed LLP, “Baiting the Russian Bear – How The RosInvestCo Arbitration Established That The Taxes That Destroyed Yukos Were A Sham.”
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April 23, 2012 |
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Mark D. Cahn ‘86, General Counsel, U.S. Securities and Exchange Commission, “The SEC’s New Whistleblower Authority.”
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