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Securities Sources for Equity Compensation

Sixth Edition

$25.00 for NCEO members; $35.00 for nonmembers

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Collects relevant source documents for the study of equity compensation.

Publication Details

Format: Perfect-bound book, 302 pages
Edition: Sixth edition (February 2009)
Status: In stock

Contents

Preface
Statutes
Securities Act of 1933
Section 4-Exempted Transactions
Section 5-Prohibitions Relating to Interstate Commerce and the Mails
Securities Exchange Act of 1934
Section 10-Regulation of the Use of Manipulative and Deceptive Devices
Section 16(a)-Directors, Officers, and Principal Stockholders
Section 16(b)-Profits from Purchase and Sale of Security Within Six Months
Regulations Under the Securities Act of 1933
Regulation D
Preliminary Notes
Rule 501-Definitions and Terms Used in Regulation D
Rule 502-General Conditions to Be Met
Rule 503-Filing of Notice of Sales
Rule 504-Exemption for Limited Offerings and Sales of Securities Not Exceeding $1,000,000
Rule 505-Exemption for Limited Offers and Sales of Securities Not Exceeding $5,000,000
Rule 506-Exemption for Limited Offers and Sales without Regard to Dollar Amount of Offering
Rule 507-Disqualifying Provision Relating to Exemptions Under Rule 504, Rule 505 and Rule 506
Rule 508-Insignificant Deviations from a Term, Condition or Requirement of Regulation D
Rule 144 -Persons Deemed Not to Be Engaged in a Distribution and Therefore Not Underwriters
Rule 428 -Documents Constituting a Section 10(a) Prospectus for Form S-8 Registration Statement; Requirements Relating to Offerings of Securities Registered on Form S-8
Rule 701 -Exemption for Offers and Sales of Securities Pursuant to Certain Compensatory Benefit Plans and Contracts Relating to Compensation
Rule 10b-5
Rule 10b5-1
Regulation 13D-G-Securities Ownership
Rule 13d-1. Filing of Schedules 13D and 13G
Rule 13d-2. Filing of Amendments to Schedule 13D or 13G
Rule 13d-3. Determination of Beneficial Owner
Rule 13d-4. Disclaimer of Beneficial Ownership
Rule 13d-5. Acquisition of Securities
Rule 13d-6. Exemption of Certain Acquisitions
Rule 13d-7. Dissemination
Schedule 13D
Schedule 13G
Regulation 14A
Solicitation of Proxies
Rule 14a-1 (Reg. §240.14a-1). Definitions
Rule 14a-2 (Reg. §240.14a-2). Solicitations to Which §240.14a-3 to §240.14a-15 Apply
Rule 14a-3 (Reg. §240.14a-3). Information to be Furnished to Security Holders
Rule 14a-4 (Reg. §240.14a-4). Requirements as to Proxy
Rule 14a-5 (Reg. §240.14a-5). Presentation of Information in Proxy Statement
Rule 14a-6 (Reg. §240.14a-6). Filing Requirements
Rule 14a-7 (Reg. §240.14a-7). Obligations of Registrants to Provide a List of, or Mail Soliciting Material to, Security Holders
Rule 14a-8 (Reg. §240.14a-8). Shareholder Proposals
Rule 14a-9 (Reg. §240.14a-9). False or Misleading Statements
Rule 14a-10 (Reg. §240.14a-10). Prohibition of Certain Solicitations
Rule 14a-11 (Reg. §240.14a-11). [Removed and Reserved.]
Rule 14a-12 (Reg. §240.14a-12). Solicitation Before Furnishing a Proxy Statement
Rule 14a-13 (Reg. §240.14a-13). Obligation of Registrants in Communicating With Beneficial Owners
Rule 14a-14 (Reg. §240.14a-14). Modified or Superseded Documents
Rule 14a-15 (Reg. §240.14a-15). Differential and Contingent Compensation in Connection With Roll-up Transactions
Schedule 14A -Proxy Statement Pursuant to Section 14(a) of the Securities Exchange Act of 1934
Rule 15c6-1 -Settlement Cycle
Rules 16a-1-16a8: Reports of Directors, Officers and Principal Shareholders
Rule 16a-1. Definition of Terms
Rule 16a-2. Persons and Transactions Subject to Section 16
Rule 16a-3. Reporting Transactions and Holdings
Rule 16a-4. Derivative Securities
Rule 16a-5. Odd-Lot Dealers
Rule 16a-6. Small Acquisitions
Rule 16a-7. Transactions Effected in Connection With a Distribution
Rule 16a-8. Trusts
Rule 16b-3. Transactions Between an Issuer and Its Officers or Directors
Regulation FD
Rule 100. General Rule Regarding Selective Disclosure
Rule 101. Definitions
Rule 102. No Effect on Antifraud Liability
Rule 103. No Effect on Exchange Act Reporting Status
Items Under Regulation S-K
Item 201
Item 402
Item 405
Federal Reserve Regulations Under the Securities Exchange Act
Regulation T
SEC Forms and Instructions
Form 3 and instructions
Form 4 and instructions
Form 5 and instructions
New York Stock Exchange Listed Company Manual
303A.02. Independence Tests
303A.08. Shareholder Approval of Equity Compensation Plans
312.03. Shareholder Approval
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