Practice Newsletter:
Securities Law Bulletin
July 22, 2010
SOX 404 Auditor Attestation Not Required for Smaller US Reporting Companies
Securities Law Update
June 2010
Canadian Tax Changes for Employee Stock Options
Canadian Securities Administrators Float Venture Issuer Regulation Proposals
Securities Law Update
May 2010
TSXV Changes Initial and Continuing Listing Requirements
Securities Law Update
April 2010
TSXV makes Changes to Listing and Maintenance Requirements, CPC Policy and Other Policy Amendments – Effective June 14, 2010
Securities Law Update
March 2010
BC Changes Rules on Prospectus-Exempt Distributions Starting March 27, 2010
SEC Guidance on Climate Change Disclosure
Securities Law Update
February 2010
Canada's New Insider Reporting Regime
Impact of Changes in Dealer Registration Requirements on Finders
OSC Issues Notice on Transition to IFRS Accounting
Securities Law Update
January 2010
SEC Requires Enhanced Disclosure for Proxies, Registration Statements and Annual Reports
New Law Would Affect Canadian Corporations with Mining, Oil or Gas Activities in Developing Countries
Nasdaq Requires 10 Minutes Advance Notice of Material Change Disclosure
Securities Law Update
December 2009
CSA Publishes Guidance for Forward Looking Statements
Securities Law Update
November 2009
TSX Adopts New Shareholder Approval Requirement for Public Company Acquisitions
BCSC Updates Dealer Conditions for OTCBB Stock Trading
SEC Publishes Study on SOX 404 Compliance and Effects of the 2007 Reforms
Securities Law Update
October 2009
SEC Finalizes SOX 404 Compliance Date for Small Companies, Grants 6 Month Extension
Future Revision and Update of NI 43-101
BC Mining Flow-Through Share Tax Credit Extended
Securities Law Bulletin
September 24, 2009
Deadline for a CPC to Apply to Extend the Time for Completion of its QT is September 30, 2009; Other Temporary Measures Also Expire
Securities Law Update
September 2009
New National Dealer and Adviser Registration Regime for Canada
Securities Law Update
August 2009
SEC Makes Temporary Short Sales Rule Permanent
New Canadian Passport System for Dealer and Advisor Registration Process
Securities Law Update
June 2009
Foreign Listed Issuers May Trade on U.S. OTC Markets Without SEC Registration
New XBRL Language Required on the Cover Page of Forms 10-Q, 10-K, 20-F and 40-F
British Columbia to Require Electronic Filings of Exempt Distribution Reports
Securities Law Update
May 2009
Canada Best Market for Business Access to Capital in 2008
IFRS Transition - Canadian Reporting Issuers Need to Start Process
Mark Longo to Join Securities Group
Securities Law Update
April 2009
All U.S. Public Companies Must Post Proxy Materials on the Web
TSX Venture Exchange to Require Electronic PIFs
CSA Allows Limited Disclosure of "Possible" Oil and Gas Resources
Securities Law Bulletin
Special Edition - March 9, 2009
Form D Filings Must be Electronic
Securities Law Bulletin
March 2009
Final Report of Expert Panel Recommends New Canadian Securities Commission and Federal Securities Act
Dismissal Planning and Employee Entitlement to Stock Option
Securities Law Bulletin
February 2009
SEC Modernizes Oil and Gas Reporting Requirements
New Client Identification and Verification Rules for Canadian Law Firms
Securities Law Bulletin to continue with Email Delivery only
CNSX Becomes a "Designated Stock Exchange" Under Income Tax Act
Securities Law Bulletin
January 2009
CSA Issues Staff Notice 51-328 Continuous Disclosure Considerations Related to Current Economic Conditions
SEC Amends Cross-Border Transaction Rules
SEC Updates Financial Reporting Manual Available Online
Securities Law Bulletin to continue with Email Delivery only
Securities Law Bulletin
December 2008
New NI 52-109 Changes Certification Requirements in Issuers' Filings Commencing December 15, 2008
Important Notice of Filing Deadlines for OTC Reporting Issuers Under BCI 51-509
Clark Wilson LLP Among Top Law Firms for PIPE Transactions
Securities Law Bulletin
November 2008
New Executive Compensation Disclosure Requirements for Canadian Reporting Issuers Effective December 31, 2008
Securities Law Bulletin
September 2008
OSC Issues Temporary Order Prohibiting Short Selling of Certain Financial Sector Issuers
SEC Issues Guidance on Using Company Websites to Provide Disclosure to Investors
OTC Issuers Under BCI 51-509 Get Shortened Listing Procedures for TSX-V and CNQ
Clark Wilson Welcomes Angela Blake
Securities Law Bulletin
August 2008
U.S. OTC Issuers with Connection to BC Become Subject to BC Regulatory Requirements
Clark Wilson Seminar - The New 51-509 - September 4, 2008
Securities Law Bulletin
July 2008
SEC Approves One-Year Extension for Small Business from Auditor Attestation Requirement in Sarbanes-Oxley Act
BC Securities Regulators Provide Additional Remedies for Misleading Disclosure
Jun Ho Song Joins Clark Wilson LLP's Corporate Finance / Securities Group
Clark Wilson LLP among Top Law Firms for PIPE Transactions
Securities Law Bulletin
April 2008
BCSC Reviews Technical Mining Disclosure In Prospectus Filings
SEC Proposed New "Naked Short Selling" Rule
Stewart Muglich Joins Clark Wilson LLP's Corporate Finance / Securities Group
Securities Law Bulletin
March 2008
SEC Adopts Changes to Small Public Company Disclosure and Reporting Requirements
Ventures Issuers Have Reduced Certification of Disclosure in Issuers' Annual and Interim Filings
SEC Proposes One Year Extension of SOX 404 Auditor Attestation Requirements for Smaller Reporting Companies
Clark Wilson LLP Welcomes Tristin Lee
Securities Law Bulletin
February 2008
U.S. Small Business Reporting Issuers Must Assess Internal Controls Over Financial Reporting
Canadian Securities Regulators Streamline and Improve Passport System Among Provinces
Clark Wilson LLP Again Named Among Top PIPE Law Firms
Securities Law Bulletin
December 2007
SEC Approves New Rule 144 For Restricted Stock Sales
SEC Adopts Proxy Rule Amendments Encouraging Electronic Shareholder Forums
British Columbia Changes Insider Trading Rules
Clark Wilson Welcomes Rina Jaswal
Securities Law Bulletin
September 2007
Proposed Policies Would Reduce Filings With Canadian Securities Regulators
Canada's Securities Regulators Provide Guidance On Insider Reporting Exemptions
Clark Wilson Adds Depth And Experience To Corporate Finance / Securities Group
Securities Law Bulletin
July 2007
BCSC To Take Action On OTCBB And Pink Sheet Companies
Securities Law Bulletin
June 2007
SEC Proposes Rule Changes That Would Simplify, Reduce Costs For Small Company Fundraisings
TSX-V Adopts New Form Of Personal Information Form
Being An "Outside" Directory Is No Defense Against Liability For Failed Remittances
Securities Law Bulletin
May 2007
Selected Highlights Of The 2007 Canadian Federal Budget
CSA Proposes Changes To Internal Control Over Financial Reporting
Securities Law Bulletin
March 2007
TSX Venture Exchange Issues Bulletin About Listing Of Foreign Issuers
CSA Provides Guidance On Definition of "Officer" Under New Rules
BC Publishes Rules On Disclosure of Investigation Information
Securities Law Bulletin
February 2007
SEC Provides Verbal Guidance For Financing Under Rule 415
New Executive Compensation Disclosure Requirements For U.S. Reporting Issuers
U.S. Companies Must File Income Tax Returns
Securities Law Bulletin
January 2007
SEC Publishes Guidance for Evaluating Internal Control Over Financial Reporting
SEC Grants Further Relief From Section 404 Requirements for Smaller Companies and Newly Public Companies
SEC Adopts E-Proxy Rule Amendments and Proposes Mandatory Model
Securities Law Bulletin
December 2006
Canadian Securities Regulators Provide Guidance on Oil and Gas Resource Disclosure
Clark Wilson LLP Welcomes Jonathan Lotz
Securities Law Bulletin
November 2006
Canada Effectively Halts New Income Trusts
SEC Issues Guidance on Financial Statement Errors
Securities Law Bulletin
September 2006
Canadian Securities Administrators Publish Guidance on Options Backdating
Canadian Issuers Fall Short in Certification Compliance
Canadian Securities Administrators Allow Certifications Even If There are Material Weaknesses
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
August 2006
PIPEs for Small Public Companies: SEC Changes the Rules Without Changing the Rules!
SEC Grants Further Extension to Small Companies and Foreign Private Issuers for Compliance With Section 404 Control Requirements
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
June 2006
New Secondary Market Civil Liability Arrives in Canada
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
May 2006
Canadian Issuers Need to Adopt "Forward-Looking Statement" Protection Language in Oral Presentations, News Releases and Other Disclosure Documents
Clark Wilson LLP Among Leaders Filing SB-2 Registrations in 2005
Clark Wilson LLP Welcomes Thea Koshman
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
April 2006
New Trading Market in United States Intended to Rival London's AIM Market
Canadian Issuer Proxy Circulars: Important Reminders for 2006
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
March 2006
Canada Won't Implement Sarbanes-Oxley Internal Control Audit Requirements
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
January 2006
SEC Proposes Internet Availability of Proxy Materials
SEC Changes Accelerated Filer Rules
TSX-V Changes NEX Policies for Inactive Companies
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
December 2005
COSO Releases Draft Internal Control Guidance for U.S. Small Business Issuers
Welcome Vikram Dhir
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
October 2005
SEC May Extend Internal Control Report Deadline for Non-Accelerated Filers
New U.S. Independence Rules for Auditors Who Perform Tax Services
BC Adopts Reserves Data Report Certification Requirement
"What Directors Need to Know" Seminar
Clark Wilson LLP Launches RSS Feeds
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
September 2005
Canadian Regulators Recommend Governance Conduct and Require Disclosure
National Instrument 45-106 Creates New Prospectus and Registration Exemptions
New Lawyers at Clark Wilson LLP!
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
August 2005
New SEC Rules Up Disclosure, Change Timing for Shell Company Transactions
Clark Wilson LLP Again Named Among
Top PIPE Law Firms
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
July 2005
OTCBB Mining Companies in BC Must Have Technical Reports
New Independence Tests for Audit Committee Members Under Amended Multilateral Instrument 52-110 - Audit Committees
Clark Wilson LLP Welcomes Gerry Shields
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
May 2005
Three Strikes: OTCBB Rule will Suspend Late Filers for a Year
New Ontario Rule Imposes Trading Restrictions During Private Placements, Prospectus Offerings, Takeover Bids and Certain Corporate Transactions
Securities Law Bulletin
March 2005
SEC Adopts Extends Dates for Internal Control Over Financial Reporting Requirements
BC Proposed Audit Committee Requirements
New Rules for Expensing Employee Stock Options
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
February 2005
SEC Adopts Regulation SHO to Regulate Short Sales
Issuers Can't Obstruct Clearing Agency to Prevent Naked Shorts
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
January 2005
Canadian Companies with December 31 Year End Should Send Request Forms
Fiduciary Duties of Directors Clarified by Supreme Court
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
December 2004
BCSC Puts New Securities Act and Rules on Hold
Canadian Reporting Issuers May Deliver Proxy-Related Materials to NOBOs Directly
SEC Provides Accounting Guidance for Oil and Gas Companies
Clark Wilson LLP Welcomes Alon Segev
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
November 2004
The New British Columbia Securities Act
SEC Requires Securities Advisors to Adopt Code of Ethics
Clark Wilson LLP Named Among Top Pipe Law Firms for 2004
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
Special Edition - New 8K Rules
August 2004
SEC Mandates New Material Disclosure Rules on Form 8K
Securities Law Bulletin
July 2004
Internal Control Over Financial Reporting Requirements
Clark Wilson LLP Welcomes Cam McTavish!
Clark Wilson LLP's Corporate Finance/Securities Law Group
Clark Wilson LLP Websites Win Top Honours
Securities Law Bulletin
June 2004
Business Acquisition Reports Now Required in Canada
SEC Proposes New Restrictions, Requirements for Shell Companies
Clark Wilson LLP Supports Orcas in the City
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
April/May 2004
BC to Allow Internet-Based Claims Staking
Everything You Wanted to Know About CEO/CFO Certifications - Part II
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
March, 2004
Everything You Wanted to Know About CEO/CFO Certifications - Part I
Meaningful MD&A: SEC Guidance - Part II
New Canadian Rules on Audit Committee Composition, Function and Disclosure
Clark Wilson LLP's Corporate Finance/Securities Law Group
Securities Law Bulletin
February, 2004
Making Sense of the New Canadian Hold Periods and Disclosure Requirements
Meaningful MD&A: SEC Guidance - Part I
CEO/ CFO Certifications: Breakfast Seminar, March 17/04
Clark Wilson LLP's Securities Group Welcomes Grant Wong
Clark Wilson LLP's Corporate Finance/ Securities Law Group
Securities Law Bulletin
January, 2004
New Securities Disclosure Rules To Take Effect Across Canada
SEC Amends Rules For Issuer Repurchases of Stock
All Canadian Public Company Auditors To Be Registered With New Board
Canadian Regulators Issue U.S.-Style Notice On Use of Non-GAAP Numbers
Securities Law Bulletin
November, 2003
SEC Proposes Sweeping Disclosure Requirements for Nominating Committees
Ontario Proposes U.S.-Style Investor Confidence Initiatives
Implementation of SEC Requirements for Website Link to Insider Trading Reports
Securities Law Bulletin
September/October, 2003
Reminder: New SEC Disclosure Rules Take Effect
CNQ Opened For Business and Trading Market in Ontario
Continuous Disclosure Requirements for Oil and Gas Issuers
Cashless Exercise of Options Results in Variable Accounting Treatment
Securities Law Bulletin
August, 2003
BC Mining Company Reaches Landmark Agreement with First Nation to Exploit Mineral Reserve
NEX Board Includes Inactive TSX-V Companies
New Rules for Trades to Employees, Directors and Consultants
Changes to SEC Annual and Quarterly Report Certifications
Securities Law Bulletin
June/July 2003
Planned BBX Shelved
British Columbia SEC Issuers Could Save Audit Costs
SEC Adopts Rules for Internal Controls Reports
New TSXV-V Inactive Board Gives Reprieve for Stale CPCS
BC Regains $97,000 Capital Raising Exemption
Securities Law Bulletin
May, 2003
Sweeping Changes Proposed to Canadian Resale Rules
Canadian Issuers Required to File Insider Information Electronically
SEC Mandates Electronic Filing of Ownership Reports
Audit Committee Independence Rules to be In Force on US Exchanges
Securities Law Bulletin
Special Mining Issue
April, 2003
Mineral Exploration Requires Consultation with Aboriginal Peoples
Online Mineral Title Acquisition in B.C. by 2004
Tax Credits and Reduced Tax Rates for Mining Projects
Securities Law Bulletin
March, 2003
SEC Issues Final Rules on "Financial Expert" Disclosure, Code of Ethics Adoption and 8-K Disclosure Requirements
SEC Adopts Rules for Attorney Professional Conduct
Disclosure in Management's Discussion and Analysis About Off-Balance Sheet Arrangements and Aggregate Contractual Obligations
Securities Law Bulletin
Special Oil and Gas Edition
February, 2003
Revised National Oil and Gas Disclosure Standards Proposed for Publicly-Traded Oil and Gas Issuers
Basic Checklist for Oil and Gas Exploration and Development
B.C. to Provide Energy Exploration Incentives
Oil and Gas Flow-Through Financings Retain Their Appeal
Securities Law Bulletin
January, 2003
BBX Update January 2003
SEC Proposes Mandated Electronic Filing and Website Posting for Insider Reports
SEC Approves Listed Company Audit Committee Standards
Securities Law Bulletin
December, 2002
SEC Proposed Rules Make Attorneys Into Enforcement Officers
MD&A Annual and Periodic Reports (Part II)
Securities Law Bulletin
November, 2002
SEC Proposes Rules for Internal Controls Pursuant to the Sarbanes-Oxley Act
MD&A Annual and Periodic Reports (Part I)
Securities Law Bulletin
October, 2002
TSX-V Changes Increase Company Responsibilities
Directors' Fiduciary Duties to Corporate Creditors
Reminder: Foreign Issuers to File Via Edgar
Securities Law Bulletin
September, 2002
BBX Update
SEC Requires Company Certification and Internal Control Rules
SEC Shortens Timelines for Filing of Annual and Quarterly Reports for Large Cap US Domestic Issuers
Securities Law Bulletin
Special Editions
August, 2002
Sarbanes-Oxley Act - Part 1 U.S. Legislation has Immediate and Dramatic Effect on the Operation of Public Companies in the United States
Sarbanes-Oxley Act - Part 2 U.S. Legislation has Immediate and Dramatic Effect on the Operation of Public Companies in the United States
Securities Law Bulletin
August, 2002
New Board to Review Canadian Public Company Auditors
New Canadian Rules for Shareholder Meeting Communications
Canadian Securities Regulators Adopt Policy Statement on Corporate Disclosure
Clark Wilson LLP Launches Energy Law Practice, Newsletter
Securities Law Bulletin
July, 2002
SEC Proposes Requiring Certification of Quarterly and Annual Reports
SEC Proposes New Form 8-K Disclosures and Filing Deadlines
Important Tax Implications of Tier 3 Shares Listed on TSX Venture Exchange
Securities Law Bulletin
June, 2002
New SEC Rules: Foreign Issuers to File Via Edgar
BC Government to Overhaul Mineral Claim Staking System
NASDAQ Approves Rule Changes to Modify Key Corporate Governance Standards
Securities Law Bulletin
May, 2002
U.S. SEC Proposes to Require Companies to Report Insider Trading Transactions on 8-K
BBX to Replace OTCBB in Early 2003
U.S. SEC Proposes New Disclosure Rules for Critical Accounting Policies
Securities Law Bulletin
April, 2002
U.S. OTCBB to be Replaced by a Regulated Exchange in 2003
Canadian Securities Regulators No Longer Accepting Insider Reports Filed on the Old Form
British Columbia and Alberta Significantly Change Private Placement Prospectus Exemptions
Securities Law Bulletin
February, 2002
SEC to Propose New Corporate Disclosure Rules in Wake of Enron Collapse
Proposed Continuous Disclosure for Oil and Gas Activities
Increased Scrutiny on MD&A by the SEC
Securities Law Bulletin
January, 2002
All Canadian Issuers Should File AIF
Stock Based Compensation Has New Accounting, Tax Consequences Under Canadian GAAP
SEC Issues Pro Forma Financial Information "Cautionary Advice"
SEC Commissioner Releases Report, Recommends Improvements to Regulation FD
SEC Requires More Detailed Information on Stock Compensation Plans
Securities Law Bulletin
December, 2001
Joint Committee on Corporate Governance Issues Final Report
Ontario Adopts Significant Changes to Private Placement Regime
Sweeping National Changes for the Resale of Securities - Multilateral Instrument (MI) 45-102
Securities Law Bulletin
November, 2001
CDNX Introduces Changes to Assist Struggling Companies
BCSC Takes Jurisdiction Over the Internet
Proceeds of Crime (Money Laundering) Act
CSA Adopts Time-Released IPO Escrow Policy
Securities Law Bulletin
October, 2001
Proposed B.C. and Alberta Rules Will Simplify Fundraising
Coming Soon: Mandatory Edgar Filings for Foreign Private (Read "Canadian") Issuers
Website Liability for Securities Violations Under U.S. Law
Securities Law Bulletin
September, 2001
New Canadian On-Line Reporting System Requires Electronic Filings
Electronic Voting for Public Companies in Canada
Securities Law Bulletin
August, 2001
Regulation FD Requires More Than News Release For Most Issuers
Regulation FD in Canada - Proposed Canadian Selective Disclosure Policy
Stock Option Repricings Get Only Limited Relief From U.S. Tender Offer Rules
BCSC Publishes Guidelines About Promotional Advertising
Securities Law Bulletin
June, 2001
BCSC allows Performance Based Escrow Shares to be converted to Time Release Shares
SEC Adopts Technical Amendments to Form 20-F
Reminder Re: Issuers with a "Significant Connection
to Ontario"
CDNX Issuers to Become Fully Reporting Issuers in
British Columbia and Alberta
Securities Law Bulletin
May, 2001
B.C. Shareholders May Now Legally Sell OTCBB Private Placement Stock, If Conditions Met
B.C. Securities Commission to Take Tough Action Against Late-Filing Companies
Securities Law Bulletin
March, 2001
New B.C. Rule Provides Broader Exemption For Trades to Consultants
Option Rights May Extend Longer Than Intended
Securities Law Bulletin
February, 2001
New Canadian Standards Adopted For Mineral Property Disclosure
Canadian Issuers Face Increased Financial Reporting Requirements
S.E.C. Requires Audit Committee Reports
Securities Law Bulletin
December, 2000
New U.S. Form 20-F Changes Disclosure Requirements for Foreign Private Issuers
Required Disclosure of Fully Diluted Capital Position
Revisions to Transitional Orders for Former Alberta Stock Exchange Issuers
Securities Law Bulletin
October, 2000
New U.S. "Fair Disclosure" Regulation Changes Analyst Communications and Information Dissemination
CDNX Issuers Must Consider Connection to Ontario
Securities Law Bulletin
June, 2000
United States and Other Listed Foreign Companies with Connections to British Columbia: BEWARE
Trade and Quote Halt Authority in OTCBB Securities Effective on June 26, 2000
New Rules Concerning the Offer And Sale Of Securities To Canadian Retirement Accounts; Order Conditionally Exempting Canadian Broker- Dealers From The Broker-Dealer Registration Requirements
Securities Law Bulletin
March, 2000
NASDAQ Changes Independent Director and Audit Committee Requirements
Pitfalls of Deferred Form 8-K Audited Financial Statement Filings
Canadian Companies Continuing to the United States Must Consider United States Securities Laws
Proposed Changes To Federal Budget – 2000 to Yield Capital Gains and Stock Option Benefits
Securities Law Bulletin
January, 2000
CDNX Issuer Transition Rules
CDNX Policies Differ from VSE
Income Tax Act Now Allows Rollover for Foreign Company Share-For-Share Exchanges
U.S. SEC Adopts Review Requirements for Quarterly Reports
Securities Law Bulletin
November, 1999
Clark Wilson LLP to Offer United States Federal Corporate Finance / Securities Legal Advice
Forward-Looking Statements Under United States Federal Securities Law
Penny Stock Rules Under United States Federal Securities Laws
Securities Law Bulletin
October, 1999
Seed Capital - The Private Issuer Exemption
Proposed Restructuring of Canadian Exchanges - Update
TSE Raises Continued Listing Requirements
Who We Are
Securities Law Bulletin
June, 1999
Short Form Offerings Allow Free Trading Shares
Ontario Proposes "U.S. Style" Private Placement Exemptions
New Securities Policies in Alberta
Cross Border Issues
VSE Announces Policy Changes
Securities Law Bulletin
April, 1999
Proposed Restructuring of Canadian Exchanges
Blank Check Companies Under The U.S. Securities Act of 1933
SEC Approves Amendments to Rule 504 to Deter Microcap Fraud
Registration of OTC Bulletin Board Companies - Update
Securities Law Bulletin
June, 1998
The Shell Game: VCPs on the VSE
National Escrow Release Policy Changes B.C. Approach
U.S. Imposes Hold Period for Rule 504 Offerings
New and Improved National Policy 41
Practice Publications & Presentations:
Investor Due Diligence
Understanding the SEC's New Regulation FD