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Directors and Officers Liability: Prevention, Insurance and Indemnification

John H. Mathias, Jr., David M. Kroeger, Matthew M. Neumeier, Jerry J. Burgdoerfer

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With liability often looming just over the horizon, corporate directors and officers rely on liability insurance and indemnification for peace of mind. Finally, there is a book that spells out in detail how these protections really work—and how they differ.

Directors and Officers Liability: Prevention, Insurance and Indemnification examines such topics as: the risks officers and directors face; derivative and class actions; when insurance is available; and when a corporation is required—or allowed—to provide indemnification. The authors have included comprehensive coverage of indemnification agreements and liability insurance policies, with point-by-point analysis of provisions, procedures, exceptions and gray areas.

Book #00659; looseleaf, one volume, 678 pages; published in 2000, updated as needed; no additional charge for updates during your subscription. Looseleaf print subscribers receive supplements. The online edition is updated automatically. ISBN: 978-1-58852-095-1.

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  • Availability: Available
  • Brand: Law Journal Press
  • Product Type: Books
  • Edition: 0
  • Page Count: 678
  • ISBN: 978-1-58852-095-1
  • Pub#/SKU#: 659
  • Volume(s): 1

Author Image
  • John H. Mathias, Jr.

John H. Mathias, Jr. is senior partner and head of the Insurance Coverage Litigation Group of the Chicago office of Jenner & Block, a national firm with offices in Chicago, Washington D. C., Los Angeles, New York, and Dallas. He has served as the Co-Chair of the Insurance Coverage Litigation Committee of the American Bar Associations Litigation Section. He is a veteran trial lawyer who has lectured and written frequently on developments in insurance law. In recent years, Mr. Mathias has counseled companies, directors, officers and risk managers on a wide array of complex insurance coverage and procurement issues in the context of securities fraud class actions. He is a graduate of Harvard Law School (1972) and Dartmouth College (1969).


Also by John H. Mathias, Jr.:
Insurance Coverage Disputes


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  • David M. Kroeger
David M. Kroeger is a partner and senior member of the Insurance Coverage Litigation Group of the Chicago office of Jenner & Block.  He has represented major U.S. policyholders in insurance coverage matters, including directors and officers liability insurance, since 1990.  He has also written and lectured on a variety of insurance coverage issues.  Mr. Kroeger graduated with highest honors from the University of Illinois College of Law (1990) and clerked for Judge Harlington Wood, Jr. of the United States Court of Appeals for the Seventh Circuit.



Author Image
  • Matthew M. Neumeier
Matthew Neumeier (deceased) was a partner in Howrey LLP's Chicago office. He was one of the nation's outstanding class action defense lawyers in the areas of products liability, mass tort and financial services.


Also by Matthew M. Neumeier:
Electronic Discovery


Author Image
  • Jerry J. Burgdoerfer
Jerry J. Burgdoerfer is a senior partner in Jenner & Block's Chicago office, a member of its Corporate Department and Co-Chair of its Securities Practice. He experience includes representing public and privately-held companies in a wide range of corporate, corporate governance and securities law matters, such as mergers, acquisitions, joint ventures, securities offerings, registered spin-offs, dispositions and restructurings, some in excess of $25 billion. He also has extensive experience in advising companies, boards of directors, board members and executive officers on director and officer liability issues, fiduciary duties, and indemnification and defense cost obligations.

CHAPTER 1
Duties of Directors and Officers

§ 1.01 General Nature of Duties of Officers and Directors
§ 1.02 Duty of Loyalty
Definition and Purpose of the Duty of Loyalty
[2] Sources of the Duty of Loyalty
[3] Forms of Breach of the Duty of Loyalty
[4] The Common Law Doctrine of Shareholder Ratification
1.03 Duty of Care
Standard of Care Defined
[2] Negligence
[3] Matters Affecting or Limiting the Duty of Care
§ 1.04 Other Duties
Duty of Disclosure
[2] Duty to Creditors
[3] Duties During Chapter 11 Bankruptcy
§ 1.05 The Business Judgment Rule
Definition and Purpose
[2] The Business Judgment Rule in Detail
[3] Standards Used when the Business Judgment Rule Does Not Apply
§ 1.06 Tender Offers, Mergers, and Other Change of Control Attempts
Federal Securities Law Liability in Connection with Tender Offers
[2] Directors’ Duty to Make Informed Decisions in Change of Control Transactions
[3] Defensive Measures in Response to Hostile Takeover Attempts
[4] Director Duties in Auctions
§ 1.07 Other Sources of Direct Liability of Corporate Directors and Officers
Ultra Vires Acts
[2] Illegal Acts
[3] Directors’ Duties in Executive Compensation Decisions
[4] Waste
§ 1.08 Committees of the Board of Directors
Committees for Particular Events
[2] Standing Committees

CHAPTER 2
Derivative Litigation

§ 2.01  Overview
§ 2.02  Distinction Between Derivative and Direct Claims
Definitions
[2] Derivative Claims
[3] Direct Claims
[4] Simultaneous Derivative and Direct Claims
[5] Special Considerations for Directors and Officers in Settlement Negotiations
§ 2.03  Procedural Aspects of Derivative Litigation
Pleading Requirements
[2] Pleading with Particularity
[3] The Right to a Jury Trial
[4] Requirement to be a Shareholder
[5] Loss of Standing in Merger Situations
[6] Statutes of Limitations
[7] Discovery Issues
§ 2.04  Bringing a Derivative Suit
Demand Requirement
[2] Demand Futility
[3] Adverse Domination Doctrine
[4] Special Litigation Committees

CHAPTER 3
Class Action Litigation

§ 3.01  Direct Actions and Shareholder Class Actions
§ 3.02  Federal Securities Laws
§ 3.03  Common Features of the 1933 and 1934 Acts
Secondary Liability: Control Person Liability
[2] Secondary Liability: Respondeat Superior
[3] Statute of Limitations
[4] In Pari Delicto Defense
§ 3.04  Corporate Director and Officer Liability under the 1933 Act
§ 3.05  Liability for Lack of Required Registration—Section 12(1)
Registration Requirements
[2] Potential Plaintiffs and Defendants
[3] Remedies
§ 3.06  Liability for Material Misstatement or Omission in a Prospectus or Oral Offer for Sale—Section 12(2)
Elements
[2] Potential Plaintiffs and Defendants
[3] Defenses and Burdens of Proof
[4] Remedies
§ 3.07  Material Misstatements or Omissions in Registration Statements—Section 11
Elements
[2] Potential Plaintiffs and Defendants
[3] Defenses
[4] The Due Diligence Defense
[5] Remedies
§ 3.08  Fraud Under the 1933 Act—Section 17(a)
Elements
[2] Defenses
[3] Remedies
§ 3.09  Corporate Director and Officer Liability under the 1934 Act
§ 3.10  General Antifraud Provision—Section 10(b)
Liability of Secondary Actors
[2] Elements
[3] Standing
[4] Scope of Section 10(b) and Rule 10b-5
[5] Remedies
§ 3.11  Material Misstatements and Omissions in Proxy Statements—Section 14(a)
Elements
[2] Remedies
§ 3.12  Tender Offers and Liability Under the Williams Act
Elements
[2] Remedies
§ 3.13  Background of State Blue Sky Laws
Purposes of Blue Sky Laws
[2] Federal and State Jurisdiction
§ 3.14  Control Person Liability under State Blue Sky laws
Definition of “Control Person”
[2] Defenses
[3] Participation Requirement
§ 3.15  Civil Liability Under State Blue Sky Laws
The Uniform Securities Act
[2] The Uniform Securities Act of 1985
[2A] The Uniform Securities Act of 2002
[3] New York
[4] California
§ 3.16  Applicability of State Blue Sky laws
§ 3.17  Remedies for Breach of State Blue Sky Laws

CHAPTER 4
Other Liabilities of Directors and Officers

§ 4.01 Overview
§ 4.02 Common Law Liability
Piercing the Corporate Veil
[2] Tort Liability
§ 4.03 Statutory Liability
Environmental
[2] Employee Retirement Income Security Act of 1974
[3] Fair Labor Standards Act
[4] Family And Medical Leave Act
[5] Tax
[6] Sarbanes-Oxley Act of 2002
[7] Dodd-Frank Wall Street Reform and Consumer Protection Act
§ 4.04 Criminal Liability
Criminal Fraud
[2] Criminal Counterparts to Statutory Civil Liability
[3] Foreign Corrupt Practices Act of 1977
[4] Economic Espionage Act of 1996
[5] Antitrust Laws
[6] Obstruction of Justice
§ 4.05 Bankruptcy Liability
Preferential Payments
[2] Fraudulent Transfers
[3] Fiduciary Duty to Creditors
[4] Criminal Liability

CHAPTER 5
Indemnification of Directors and Officers

§ 5.01 Indemnification Basics
The Concept of Indemnification
[2] Historical Background
[3] Distinguishing Indemnification from Insurance
§ 5.02 Statutory Indemnification
Governing Law
[2] Scope of Coverage
[3] Advancement of Costs
[4] Types of Indemnification
[5] Requirements for Obtaining Relief
[6] Nonexclusivity
[7] Authorization for Insurance Coverage
§ 5.03 Corporate Indemnification
Statutory Authorization for Charter and Bylaw Provisions
[2] Shareholder Approval
[3] Charter and Bylaw Indemnification Provisions
[4] Contractual Indemnification
§ 5.04 Public Policy Limits on Indemnification
General Public Policy
[2] Officials of Depository Institutions
[3] Federal Securities Laws

CHAPTER 6
Overview of Directors and Officers Liability Insurance

§ 6.01  An Introduction to D&O Liability Insurance
§ 6.02  Applying for the D&O Policy
The Application and the “Warranty Letter“
[2] Innocent Insureds
[3] Rescission
§ 6.03  Components of a D&O Liability Policy
Declarations
[2] Insuring Agreements
[3] Exclusions
[4] Definitions
[5] Conditions
§ 6.04  Allocation
Covered and Uncovered Claims
[2] Insured and Uninsured Capacity
[3] Covered and Uncovered Parties
[4] Policy Provisions Governing Allocation
§ 6.05 Advising Corporate Boards on Directors and Officers Insurance
The Board Meeting
[2] Bankruptcy Concerns
[3] Rescission
§ 6.06 D&O Insurance Audits
Why the D&O Insurance Audit?
[2] Staffing Considerations
[3] Major Concerns in Performing the D&O Insurance Audit

CHAPTER 7
Rules of Policy Interpretation and Construction

§ 7.01  Contract Interpretation Generally
§ 7.02  Insurance Policy Interpretation
General Rules of Interpretation
[2] Contra Proferentem Doctrine
[3] Contra Proferentem and the Sophisticated Policyholder
[4] Coverage Grants vs. Exclusions
§ 7.03  The Parol Evidence Rule
§ 7.04  Determining Ambiguity
§ 7.05  Ambiguity and the Parol Evidence Rule
§ 7.06  Reasonable Expectations
CHAPTER 8
Exclusions in D&O Policies

§ 8.01 Introduction
§ 8.02 Insured vs. Insured Exclusion
§ 8.03 Prior Acts Exclusion
§ 8.04 Dishonest, Fraudulent, and Criminal Acts Exclusion
§ 8.05 Employment-Related Activities Exclusion
§ 8.06 Outside Directorship Exclusion
§ 8.07 Bodily Injury, Property Damage, Advertising Injury, and Personal Injury Exclusion
§ 8.08 Prior Notice and Prior Knowledge Exclusions
Prior Notice Exclusion
[2] Prior Knowledge Exclusion
§ 8.09 Prior and Pending Litigation Exclusion
§ 8.10 Regulatory Exclusion
§ 8.11 ERISA Exclusion
§ 8.12 RICO Exclusion
§ 8.13 Insurance Not Maintained Exclusion
§ 8.14 Personal Profit or Advantage Exclusion
§ 8.15 Return of Remuneration Exclusion
§ 8.16 Securities Exclusion
§ 8.17 Short-Swing Profit Exclusion
§ 8.18 Subsidiary Officers or Directors Exclusion
§ 8.19 Takeover Exclusion
§ 8.20 Bribes, Political Payments, and Gratuities Exclusion
§ 8.21 Pollution and Related Exclusions
Claims “arising out of” Pollution or Other Contamination
[2] Global Warming Claims
§ 8.22 Breach of Contract Exclusion
§ 8.23 Professional Services Exclusion
§ 8.24 Money Laundering Exclusion
§ 8.25 Severability Issues

CHAPTER 9
Claims Submission and Handling Under D&O Policies

§ 9.01 Notice of Claim
§ 9.02 Cooperation
§ 9.03 Insurer’s Duty to Investigate
§ 9.04 Insurer’s Duty to Pay or Advance Defense Costs
§ 9.05 Control of the Defense
Choice of Counsel
[2] Separate Counsel
[3] Litigation Guidelines
§ 9.06 Insurer’s Reservation of Rights
Waiver or Estoppel
[2] Mend the Hold Doctrine
§ 9.07 Bad Faith
The Implied Covenant of Good Faith and Fair Dealing
[2] Bad Faith Breach of the Duty to Pay Defense Costs
[3] Bad Faith Breach of the Duty to Not Unreasonably Withhold Consent to Settlement of a Third-Party Action
[4] Bad Faith Conduct that May Prejudice a Policyholder’s Defense of an Underlying Action
[5] Bad Faith Litigation Practices
[6] Discoverability of Claims File
§ 9.08 Damages Available in a Bad Faith Action
Excess Judgments
[2] Punitive Damages
[3] Consequential Damages
[4] Damages for Mental Suffering
[5] Attorneys’ Fees
§ 9.09 Statutory Claims
The Model Unfair Claims Settlement Practices Act
[2] Statutory Bad Faith Claims and Penalties
§ 9.10 Assignment of Coverage Claims

CHAPTER 10
Litigation and Settlement Considerations

§ 10.01 Choice of Forum
Venue
[2] Doctrine of Forum Non Conveniens
§ 10.02 Justiciability Issues
§ 10.03 Arbitration Requirements
§ 10.04 Discovery
Areas of Discovery
[2] Privilege Issues
§ 10.05 Trial of the Directors and Officers Coverage Case
Introduction
[2] Judge vs. Jury Issues
[3] Evidentiary Issues: “The Case Within a Case”
§ 10.06 Issues Arising out of Settlements and Settlement Agreements
Exhaustion of Underlying Coverage
[2] Priority of Coverage Among Directors and Officers and Corporation
[3] Consent to Settlement
§ 10.07 D&O Policy Proceeds in Bankruptcy Proceedings
Bankruptcy’s Impact on Directors and Officers
[2] Case Law on the Ownership of D&O Policy Proceeds in Bankruptcy
[3] The Impact of Entity Coverage
[4] Priority Provisions and Other Solutions
§ 10.08 D&O Insurance and Securities Litigation: Some Practical Concerns
Appointing a Conservator
[2] Analyzing the Coverage
[3] Avoiding Statements and Conduct Harmful to Coverage
[4] Softening the Insurers’ Negotiation Position
[5] Crafting the Settlement


Index