Categories: Financial/Economic The Dodd-Frank Wall Street Reform and Consumer Protection Act: The Impact on Regulatory Mandates and Securities Litigation TASA ID: 3364 On October 19, 2010, at 2 p.m. EDT, The TASA Group, Inc., in conjunction with securities expert Louis Straney, presented a free, one-hour, interactive webinar, The Dodd-Frank Wall Street Reform and Consumer Protection Act: The Impact on Regulatory Mandates and Securities Litigation, for all legal professionals.During this presentation, the following was covered: Overview of the Dodd-Frank Wall Street Reform and Consumer Protection ActHow your legal practice might changeRevolutionary or evolutionary?Whistleblower provisionStatute of limitationsArbitration protocolUS legislation compared to reforms in other countries About the ExpertLouis Straney has extensive experience in senior level management in financial services. Currently, he serves as a consulting and testifying expert in securities litigation for both plaintiff and defense clients. He is the author of two texts on securities fraud, one of which is used for training and certifying fraud examiners. His most recent book, Securities Fraud: Detection, Prevention and Control, will be released by John Wiley & Sons in November 2010. Previous Article Business Valuation: Understanding the Value of Private and Public Companies Next Article Law Enforcement: The Use of Deadly Force Print Tasa ID3364