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Key Issues Facing Boards of Directors: Challenges of Securities Regulation, Risk Management & Liability

August 19, 2009
Directors Roundtable

Directors, C-Suite Executives and General Counsel in every industry are concerned about recent initiatives in federal securities regulation, risk management and fiduciary liability. Drawing on their respective experiences at the United States Securities and Exchange Commission; major international accounting, business and risk consulting firms; specialty insurance operations; and private law practice; these Distinguished Speakers will address: (1) proposed and recently adopted federal securities regulations that will directly impact public company Boards and executives; (2) the roles and duties of Boards and their advisors and the reports they should seek; and (3) liability, indemnification and insurance issues in the context of risk management.

The Directors Roundtable is a civic group which organizes the preeminent worldwide programming for Directors and their advisors. Special appreciation is given to Keating Muething & Klekamp PLL for its cooperation in this event.

DISTINGUISHED SPEAKERS:

Martin Dunn

Partner, O’Melveny & Myers LLP
Formerly, Deputy Director, and former Acting Director, Division of Corporation Finance,
U.S. Securities and Exchange Commission

Sue Erhart
Mark Reuter
Mark Weiss

Partners, Keating Muething & Klekamp LLP

Daniel Fagin

Managing Director, Protiviti, Inc

Kevin Gadbois

Executive Vice President,
Great American Insurance Company

Stephen Wagner

Former Managing Partner (retired May 2009) of Deloitte LLP’s Center for Corporate Governance

HANDOUTS / PRESENTATIONS: