The Cosmopolitan of Las Vegas
Las Vegas, NV
Over the last year, the Securities Exchange Commission has proposed, and adopted, controversial rules that have increased the exposure for publicly-traded companies and their boards. Additionally, the SEC has lived up to its stated goal of increased enforcement and personal accountability. These regulatory exposures can open the door for an aggressive plaintiffs bar looking to advance shareholder class action claims. Companies and their boards should be mindful of these risks and develop strategies to both protect against investor claims and improve their risk profiles in the eyes of D&O underwriters.
MoFo partner Christin Hill joins Marsh FINPRO Managing Director Jack Flug and Senior Vice President Matthew McClellan for the panel session to discuss this topic further at the annual PLUS event to be held in Las Vegas.
See registration details - we would be pleased to see you there.