Contact Paul N. Edwards

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    pnedwards@day-ketterer.com
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Paul N. Edwards


RECENT PRESENTATIONS

 

The Finance Reform Newsletter; Volume 1 - Issue 1: Salient Thoughts on Attracting New Money

 

Panel Participant, "Corporate Governance Update," Bowne's Annual SEC Issues Update Seminar, November 15, 2007.

 

Panel Participant, "Hedge Funds,"  RR Donnelly's Annual SEC Hot Topics Institute, October 4, 2007.

 

Speaker, "Rules 144 and 145, 10b5-1 Plans and Rule 701," UBS Wealth Management Education Program for Financial Advisors, September 27-28, 2007 in Cleveland and on October 16-17, 2007 in Columbus, Ohio.

 

Moderator for a panel on "Financial Accounting Developments,"  Cleveland Bar Association's Annual Securities Law Seminar, February 2007. 

 

Panel Participant, "Compensation Discussion and Analysis: Planning Compliance and Beyond," Bowne's Annual SEC Issues Update Seminar, November 2006. 

 

Speaker, "SEC Advisory Committee on Smaller Companies,"  RR Donnelly's Annual SEC Hot Topics Institute, October 2006.

 

Panel Participant, "New Executive Compensation Disclosure Rules,"  ASPPA Benefits Council of Cleveland, August 2006.

 

Moderator for a panel on "Executive Compensation Disclosure," Cleveland Bar Association's Annual Securities Law Seminar, February 2006.

 

Panel Participant, "New Form 8-K," RR Donnelly's Annual SEC Hot Topics Institute, October 2005.

 

Speaker, "Antitrust Issues Affecting Pathologists," Medical Group Management Association's Annual Seminar, October 2005.

 

Moderator for a panel on "Internal Controls Over Financial Reporting," Cleveland Bar Association's Annual Securities Law Seminar, March 2005.

 

Panel Participant, "Update on the Recent Amendments to Form 8-K," Bowne's Annual SEC Issues Update Seminar, October 2004.

 

Panel Participant, "Investment Advisor Compliance and Ethics Programs," 2004 Ohio Securities Conference, October 2004.

 

Panel Participant, "The Federalization of State Fiduciary Duty Law," Annual Securities Law Seminar of the Cleveland Bar Association, February 2004.

 

Panel Participant, "State Legislative and Judicial Responses to the Changing Corporate Governance Environment," RR Donnelly's Annual SEC Hot Topics Institute, Fall 2003.

 

Panel Participant, "Investment Adviser Regulation," 2003 Ohio Securities Conference, October 2003.

 

Panel Participant, "Internal Controls Under Sarbanes-Oxley," Annual Securities Law Seminar of the Cleveland Bar Association, April 2003.

 

Speaker, "Preparing a Venture-Backed Company to Go Public," CLE International Venture Capital Financing Seminar, April 2003.

 

Planning Committee and Moderator/Panelist, "Broker Dealer Regulation," Annual Securities Law Seminar of the Cleveland Bar Association, February 2003.

Attorney Paul Edwards

Attorney Paul Edwards