IPO Webinar Series:
The Road to IPO
Effectively Navigating the S-1 Filing and Listing Day
In this four-part IPO Webinar Series, hosted by FTI Consulting, our experts will address the challenges, opportunities and market trends facing companies considering and preparing for an IPO. Each webinar in the series will focus on a different stage in the IPO process – from evaluating whether an IPO is an appropriate strategy to operating as a newly public company.
The third webinar in the series titled, The Road to IPO: Effectively Navigating the S-1 Filing and Listing Day, will explore and discuss the key ingredients of an IPO preparation program:
- How to navigate today’s market forces to maximize enterprise value after listing day
- IPO due diligence with respect to all stakeholders
- Developing a multi-stakeholder communications plan
- The new rules and regulations of an IPO: the impact of social media and the JOBS Act
- Successful strategies and common pitfalls leading up to listing day
Who should attend:
- Board of Directors from privately held companies
- C-suite executives from privately held companies – CEO, CFO, GC, CMO, CCO and IRO
- Outside Legal Counselors
- Private Equity and Venture Capital Investors
CPE credit: Participation in the live webinar qualifies for 1 CPE credit. Field of Study: Finance
Please note that CPE credit can only be given to individuals who remain logged into the LIVE webinar and respond to the polling questions provided during the webinar. Please note that this is a NASBA (not FTI Consulting) requirement. In accordance with the standards of the National Registry of CPE Sponsors, CPE credits are granted based on a 50‐minute hour.
Glenn W. Tyranski
Senior Vice President, Financial Compliance, NYSE Regulations, Inc
Glenn Tyranski manages the daily activities of the financial compliance group at the NYSE and is responsible for the financial qualifications review of all potential listing candidates and continued financial review of all listed companies.
Senior Managing Director, Forensic & Litigation Consulting
John Huber is the former director and deputy director of the U.S. Securities and Exchange Commission’s (SEC) Division of Corporation Finance and presently provides consulting services and expert witness testimony in the areas of securities offerings, strategic transactions, corporate disclosure, restatements, internal control over financial reporting and corporate governance.
Senior Managing Director, Strategic Communications
Kal Goldberg specializes in building best practice communications programs across a wide spectrum of clients and has provided communications counsel for some of the largest IPOs of the last several years, including those of MF Global, Nymex Holdings, Mastercard and GFI Group.
IPO Webinar Partners:
Now in its 10th year, Corporate Secretary is the leading publication for governance, risk, compliance and ethics professionals. Corporate Secretary’s monthly print magazines and weekly e-newsletters meet the needs of corporate secretaries, general counsel and governance professionals by reporting the relevant news and offering analysis of and comment on topical issues. In-depth feature articles on regulatory and other developments offer practical solutions to tricky problems.
IR Magazine is the only global publication focused on the interface between companies and their investors. IR Magazine helps investor relations professionals achieve more in their IR programs, benchmark their efforts, and connect to the global IR community through multiple platforms—online, monthly magazines, weekly newsletters, research reports and studies such as the Investor Perception Study and the Global IR Practice Report. IR Magazine also hosts events such as awards and think tanks around the world.
Securities Docket, the Global Securities Litigation and Enforcement Report, is the industry’s most comprehensive and timely source of news, commentary, and professional webcasts. Continuously updated throughout the day, Securities Docket is the only publication that delivers important news and developments concerning securities class actions, enforcement and white-collar matters as they occur – not days or weeks later. Lawyers, institutional investors, executives, accountants, consultants and professionals throughout the securities litigation industry rely on Securities Docket as their “one-stop” way to quickly and easily stay informed.