
Steven J. Glusband
Publications
Publications Available on this website
- The JOBS Act and its Implications for Canadian and Other Non-U.S. Issuers, Client Advisory, May 9, 2012
- The Last Phase of Implementation of XBRL Filings: Foreign Private Issuers Must Be Prepared to File, Client Advisory, December 5, 2011
- Temporary XBRL Relief for IFRS Financial Statements of Foreign Private Issuers, Client Advisory, June 6, 2011
- SEC Adopts Rules on Say-On-Pay and Say-On-Golden Parachutes, Client Advisory, March 3, 2011
- SEC Proposed Rules for Disclosure Concerning Conflict Minerals Originating in the Democratic Republic of the Congo and Adjoining Countries, Client Advisory, March 3, 2011
- SEC Proposes Rules Requiring Disclosure of Government Payments by Resource Extraction Issuers, Client Advisory, March 3, 2011
- SEC Proposes Rules for Disclosure Concerning Mine Safety, Client Advisory, March 3, 2011
- XBRL Interactive Data for Financial Reporting, Client Advisory, October 6, 2010
- Modification of NASDAQ Press Release Requirements for Listed Companies, Client Advisory, April 19, 2010
- SEC Proposes to Modernize Company Repurchases of Common Stock, Client Advisory, March 4, 2010
- SEC Votes to Propose Rules to Permit Shareholders to Nominate Directors in a Proxy Statement, Client Advisory, June 8, 2009
- Alert to Foreign Issuers: Upcoming Date to Measure Your SEC Reporting Status as a Foreign Private Issuer, Client Advisory, May 12, 2009
- SEC Proposes Five Short Sale Price Rules, Client Advisory, April 30, 2009
- SEC Press Release on Proposed Short Sale Price Test, Client Advisory, April 9, 2009
- Madoff Securities Task Force Update: IRS Issues Helpful Guidance, Client Advisory, March 18, 2009
- The Hedge Fund Transparency Act of 2009, Client Advisory, February 9, 2009
- Effects of Loss of WKSI Status on Automatic Shelf Registration Statements, Client Advisory, February 4, 2009
- Madoff Securities Task Force Update: March 4, 2009 Deadline, Client Advisory, January 8, 2009
- Madoff Securities Task Force, Client Advisory, December 30, 2008
- SEC Amends Reporting and Disclosure Requirements for Foreign Private Issuers, Client Advisory, October 10, 2008
- SEC Reforms the Public Offering Process, Client Advisory, August 15, 2005
- Additional Form 8-K Disclosure Requirements and Acceleration of Filing Dates, Client Advisory, May 21, 2004
- A Practical Guide to the Sarbanes-Oxley Act of 2002, Client Advisory, July 1, 2003
- What you Need to Know About the Certification Requirements of The Sarbanes Oxley Act of 2002, Client Advisory, June 2003
- Audit Committee and Financial Reporting Requirements for U.S. and Non-U.S. Companies under the Sarbanes-Oxley Act, Client Advisory, May 1, 2003
- SEC Final Rule for Attorney "Up the Ladder" Reporting and Proposed Rule for Attorney "Noisy Withdrawal" Under the Sarbanes-Oxley Act, Client Advisory, January 31, 2003
- The Application of Sarbanes-Oxley to Non-U.S. Companies, Client Advisory, November 2002
Additional Publications
- "Proposal to Mandate Electronic Filings By Foreign Issuers on SEC Meeting Agenda," Client Advisory, September 25, 2001
Practice Areas
Education
- B.B.A., 1969 City College of the City University of New York
- J.D., 1973 Fordham University School of Law
- LL.M., 1978 New York University School of Law