Seminars & Events Search

Your search criteria matched 13 items:

“Managing a True Corporate Crisis/Major Internal Investigation,” 2017 Securities Enforcement Forum
October 26, 2017
“Managing Financial Firm Data Breaches,” Incident Response Forum
April 4, 2017
“The Supreme Court’s Janus Decision After Three Years: Impact and Progeny,” Securities Docket
September 10, 2014
Cross-Border Litigation and Enforcement Trends, 15th Annual NERA Securities and Finance Seminar
July 7, 2014
“E-Discovery in Government Investigations,” DTI Webcast
March 12, 2014
{ Audio Image } The Data Breach Nightmare – How to Reduce Your Risk and Your Litigation Exposure in Today's "Blame the Victim" Environment
(A Steptoe-sponsored event)
February 26, 2014
"On-the-Record: Acting in High-Profile, Multijurisdictional Cases and the Impact of the Media," IBA’s 16th Annual Transnational Crime Conference

"SEC Update," Law Bulletin Seminars White-Collar Crime and Corporate Governance Conference
April 18, 2012
"Internal Investigations from a Governance, Regulatory, and Enforcement Perspective," ABA 2012 Spring Meeting
March 22, 2012
"Ethical Considerations in an Era of Whistleblowers and Increased Government Investigations," 39th Annual Securities Regulation Institute's Conference
January 19, 2012
Whistleblowers and the FCPA – Minimizing Internal Risk
(A Steptoe-Sponsored Event)
July 27, 2011
Christopher Conte Discusses the Impact of Dodd-Frank on SEC Enforcement at a New York City Bar and District of Columbia Bar Associations' Program
September 16, 2010
Anti-Money Laundering & Off-Shoring Issues
Recent Developments in the World of Anti-Money Laundering
November 19, 2008

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