Amendments to Rules & Forms for Foreign Private Issuers: Best Practices Explored

Michael Coco
Special Counsel, Office of International Corporate Finance
The U.S. Securities and Exchange Commission

Michael D. Coco is a Special Counsel, Office of International Corporate Finance, Division of Corporation Finance at Securities and Exchange Commission. His work includes: issuing interpretive guidance to foreign issuers on matters relating to the Federal securities laws; working on SEC rulemaking initiatives concerning foreign issuers, including preparation of recent rules relating to the use of IFRS financial statements by foreign private issuers without reconciliation to U.S. GAAP; reviewing disclosure documents from foreign companies and sovereign issuers and participating in conferences and events with market participants to describe developments in the Federal securities laws.

He also had previous roles at the Securities and Exchange Commission as Attorney-Advisor in the Office of Structured Finance, Transportation and Leisure; Reviewer in the Office of Chief Counsel, Shareholder Proposal Task Force, Attorney-Advisor, Office of Small Business; assist the Division of Enforcement as interpreter in Italian and French.

Michael Coco's educational background includes: Diploma, cum laude (1987), Phillips Academy, Andover, MA; B.S. in Foreign Service, cum laude (1991), Georgetown University, School of Foreign Service, Washington, DC; Certificat d’Etudes Politiques (1990), Institut d'Etudes Politiques, Paris, France; M.A. in International Politics/Public International Law (1993), Columbia University, School of International and Public Affairs, New York, NY. He also attended at University of Virginia School of Law, a J.D. (1998) and a Member of New York Bar Association.

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Karen B. Dietrich
Associate Director, Office of International Affairs
Public Company Accounting Oversight Board

Karen Dietrich is an Assistant Director of International Affairs at the PCAOB. Her responsibilities include representing the Board in discussions with non-U.S. regulators, assisting in the development of the Board’s international policies and providing legal advice regarding the oversight of non-U.S. audit firms that operate in U.S. capital markets.

Prior to joining the PCAOB, Ms. Dietrich practiced law with firms in Boston and Washington, D.C. She specialized in securities litigation, white collar criminal and civil enforcement matters, and complex commercial litigation. While in private practice, Ms. Dietrich worked on a number of cases involving allegations of accounting and auditor misconduct. Ms. Dietrich earned a B.A. with distinction and a J.D. with high honors, both from the University of North Carolina at Chapel Hill, where she was also a Morehead Scholar.

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John S. Abbott, Jr.
National Professional Services Group
PricewaterhouseCoopers LLP

Mr. Abbott is a partner with PricewaterhouseCoopers in the U.S. and is a member of the firm's National Professional Services Group. Mr. Abbott has over 20 years of experience advising clients on U.S. GAAP, IFRS and SEC reporting matters. Mr Abbott has significant experience with cross-border transactions and foreign private issuer matters and has served as a member of the American Institute of Certified Public Accountants International Practices Task Force.

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Deborah R. Meshulam
Partner, Chair, National SEC Enforcement Practice
DLA Piper LLP (US)

Ms. Meshulam has over two decades of experience representing clients facing securities law, regulatory and corporate governance issues. She defends clients in SEC enforcement matters, securities class actions and derivative lawsuits, complex financial, accounting and corporate disputes and FINRA (formerly NASD) and Exchange proceedings. She also counsels clients in rulemaking proceedings and in SEC inquiries from the Divisions of Corporate Finance and Market Regulation, the Office of Chief Accountant, and the Office of Compliance Inspection and Examinations.

She represents public companies, foreign private issuers, financial institutions, accounting firms, officers, directors, securities professionals, broker/dealers, investment advisers, accountants, and other individuals in the full range of securities laws matters including cases involving alleged accounting and auditing improprieties, disclosure, insider trading, broker/dealer sales practices, market manipulation, and delisting claims. In a number of instances, she has persuaded SEC staff members that challenged accounting practices are proper. She also frequently advises corporate clients on issues raised by their independent auditors, resolving those issues successfully.

Her securities practice also includes counseling U.S. and overseas clients on a wide range of corporate governance and regulatory matters, financial reporting and disclosure issues, the design and implementation of compliance programs under the securities laws and the Sarbanes-Oxley Act and its implementing regulations and issues faced by brokers/dealers, investment advisors, and other regulated entities.

Ms. Meshulam regularly conducts internal investigations on behalf of public companies or their audit committees, often relating to accounting issues, alleged securities law violations and employee misconduct. She also regularly advises clients on securities law compliance and litigation avoidance. At the request of the SEC, she has acted as a Receiver to assist the agency in locating and collecting assets hidden by an individual who committed securities fraud. She has written on securities law issues for a number of legal publications and is a frequent speaker at numerous professional programs on securities related topics and issues.

Before coming to DLA Piper, Ms. Meshulam served as Assistant Chief Litigation Counsel of the Securities and Exchange Commission, a senior-level position. As lead trial counsel, she prosecuted a number of cases involving complex financial fraud, accounting, market manipulation, insider trading, sales practice fraud and public offering fraud and disclosure issues. She also helped develop SEC enforcement policy, in conjunction with other agency divisions, helped write the SEC’s then current Rules of Practice, and helped implement the agency’s EEOC compliance programs.

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Amendments to Rules & Forms for Foreign Private Issuers: Best Practices Explored
Speaker Firms:


The U.S. Securities and Exchange Commission


Public Company Accounting Oversight Board