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Reporting Impacts and Updated SEC Guidance Due to COVID-19

 

Gain an understanding on the new SEC guidance due to COVID-19 and how to disclose its effects on your company.

The current pandemic caused by COVID-19 has major implications for public companies under the federal securities laws. These implications include the appropriate disclosures to be made regarding the effect of the virus on company operations, relief provided by the SEC on the timing of required filings such as the Annual Report on Form 10-K and the Quarterly Report on Form 10-Q when a timely filing under current rules cannot be made because of the virus, whether annual or special shareholder meetings should be held, and what types of disclosure and guidance does the SEC staff have for either holding or postponing a public company meeting. These and other issues will be discussed in light of current SEC rules, official SEC pronouncements and SEC staff guidelines as to how a public company may comply with the federal securities laws in unprecedented economic and social conditions.

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Reporting Impacts and Updated SEC Guidance Due to COVID-19

Agenda

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Reporting Impacts and Updated SEC Guidance Due to COVID-19

Faculty

Michael D. Waters

Michael D. Waters

Jones Walker LLP

  • Partner in the Birmingham, Alabama office of Jones Walker LLP
  • Practiced in the corporate and securities area, primarily for financial institutions, for more than 35 years, representing banks, bank holding companies, and other financial entities in acquisitions, capital raising transactions, SEC and shareholder issues, new bank formations, and board fiduciary duty issues
  • Advised buyers and sellers in approximately 110 bank mergers and acquisitions, ranging from small community banks to the acquisition of a $34 billion holding company
  • Recognized in Chambers USA, banking and finance annually since 2013
  • Recognized by Alabama Super Lawyers annually since 2008 for work in the banking and securities & corporate finance area
  • Named by Best Lawyers in America annually since 1995 for work in the area of banking and finance law, corporate law, and financial services regulation law
  • J.D. degree, University of Alabama School of Law; M.A. degree, Rhodes Scholar, Oxford University; B.A. degree, Duke University
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Reporting Impacts and Updated SEC Guidance Due to COVID-19

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