Legal Resources for Corporations - L-341254 - (Page 8) Limited Liability Company Handbook, 2007-2008 Ed. Securities Handbook Series by Mark A. Sargent and Walter D. Schwidetzky This handbook provides a complete summary and analysis of the check-the-box rules and offers guidance on this specific form of business organization. It presents state-by-state coverage of LLCs, forms for LLC articles and operating agreements, tax status of LLCs, texts of the relevant IRS revenue and private letter rulings, and discussion of how LLCs compare with S and C corporations and partnerships. One softbound volume, replaced annually. $483 Also on Westlaw. Limited Offering Exemptions: Regulation D, 2007-2008 Ed. Securities Law Handbook Series by J. William Hicks 8 Free ground shipping anywhere in the U.S. This handbook’s collection of charts and comparators helps you evaluate fastchanging regulatory patterns for securities offerings, determine exemptions, and coordinate registration procedures as required by the SEC and NASAA, state by state. It also covers: • Rule 504: Exemption for Sales Not Exceeding $1 Million • Rule 505: Exemption for Limited Offers and Sales Not Exceeding $5 Million • Rule 506: Exemption for Limited Offers and Sales Without Regard to Dollar Amount of Offering • Rules 507 and 508: Violations One softbound volume, replaced annually. $510 SECURITIES Real Estate Investment Trusts Handbook, 2007-2008 Ed. Securities Law Handbook Series by Peter M. Fass, Michael E. Shaff, and Donald B. Zief This resource explains how to guide clients safely through the pitfalls of federal tax requirements, SEC rules, and blue sky provisions. It provides all the related tax requirements and SEC rules to help practitioners maximize the profitable opportunities offered by REITs. Also includes analysis and guidance on Sarbanes-Oxley Act requirements affecting REITs, the effect of nonGAAP financial rules on REIT FFO reporting, and the latest rulings on TSRs. One softbound volume, replaced annually. $483 Also on Westlaw. Regulation of Investment Advisers, 2007 Ed. Securities Handbook Series by Thomas P. Lemke and Gerald T. Lins practitioners encounter most frequently. Topics covered: performance advertising, trade allocations, conflicts of interest, SEC inspections and enforcement, and mergers and acquisitions of investment advisers. Also included are a table of laws and rules, a table of additional authorities, a table of cases, and a comprehensive index. One softbound volume, replaced annually. $535 Also on Westlaw. Mortgage-Backed Securities, 2007-2008 Ed. Securities Handbook Series by Kenneth G. Lore and Cameron L. Cowan Get accurate, up-to-date guidance on the registration, regulation, and compliance requirements imposed on advisers by the Investment Advisers Act of 1940. This handbook offers clear, concise treatment of the registration, regulation, and compliance questions and problems that Successfully navigate the mortgage-backed securities field with the data, analysis, and practical tips found in this handbook. This easy-to-use guide provides coverage of characteristics of mortgage-backed securities, interplay of federal and state law requirements, tax consequences, banking and accounting issues, pension funds, and rating of mortgage-backed securities. One softbound volume, replaced annually. $495 Also on Westlaw. For help in choosing legal resources, call 1-800-344-5009 Please provide OFFER CODE 534020 when ordering. http://west.thomson.com/store/product.aspx?product_id=14779807 http://west.thomson.com/store/product.aspx?product_id=14976416 http://west.thomson.com/productdetail/144516/13516628/productdetail.aspx http://west.thomson.com/store/product.aspx?product_id=14610644 http://west.thomson.com/store/product.aspx?product_id=14739686
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