| Acquisitions and Mergers: Tactics and Techniques |
Practicing Law Institute (PLI) |
1990 |
| Representing The Publicly Traded Corporation |
Practicing Law Institute |
1987 |
| State Court Determinations in Tax Litigation: A New Era |
Southern California Law Review |
1986 |
| The SEC's New Regulation D |
Los Angeles Lawyer |
1982 |
| Section 25102(f): California's New Counterpart to Regulation D |
Los Angeles Lawyer |
1982 |
| Lawyers' Use of Financial Statements in Counseling and Litigation |
California Continuing Education of the Bar (CEB) |
1980 |
| Managing Corporate Disclosure |
Practicing Law Institute (PLI) |
1978 |
| Representing the Business Client Threatened With Criminal Proceedings |
Southern California Corporate Law & Finance Institute |
1978 |
| Duties and Responsibilities of Outside Directors |
Practicing Law Institute (PLI) |
1977 |
| Ninth Annual Securities Institute |
Practicing Law Institute (PLI) |
1977 |
| An Overview of the Liability Provisions of Federal and California Securities Laws and a Discussion of Rule 10b-5 Problem Areas |
Southern California Corporate Law and Finance Institute |
1975 |
| Tax and Estate Planning for the U.S. Citizen Residing in the United Kingdom |
Practicing Law Institute, Tax and Estate Planning for the Multinational individual |
1974 |
| A Primer of Federal and California Securities Laws and a Catalogue of Recent Developments |
Southern California Corporate Law and Finance Institute |
1974 |
| Impact of Securities Law in Estate Planning |
Practicing Law Institute Fourth Annual Estate Planning Institute |
1973 |
| Take the Money and Run: An Assessment of the 100 Percent Penalty |
Los Angeles Bar Bulletin |
1972 |
| The Regulation D Exemption |
Securities Law Techniques (Matthew Bender) |
|
| SEC Issues Update 2000 |
Glasser LegalWorks |
|
| Purchase and Sale of Securities in the United States by Foreign Persons |
Practicing Law Institute (PLI) |
|