Jan-Mar 2013 Issue
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CONTENTS
Mitigating the risk of corporate fraud and corruption
D&O risk management strategies
Putting in perspective the FCPA guidance from the US government
What recent FCPA enforcement actions teach companies about enhancing anti-corruption compliance programs
Impact of the Dodd-Frank whistleblower provisions on due diligence and internal investigations for companies
The positive side of risk
Looking beyond the numbers: the need for strong operational due diligence
Shining the spotlight on the audit committee
The regulation of executive compensation in the United States: quo vadis?
Born to fail?
Personal risk management for directors
Director liability and its implications for directors and officers in Australia
EDITORIAL PARTNERS
American International Group, Inc. (AIG)
Baker & McKenzie
Berkeley Research Group, LLC
Holland & Knight
KPMG
Australian Institute of Company Directors
Airmic
National Association of Corporate Directors (NACD)
RIMS