PLI Press Pubs Catalog 2025

INSURANCE

ACCESS PLI’S NATIONALLY ACCLAIMED COURSE HANDBOOKS DIGITALLY Prepared specifically for PLI’s renowned programs, our course handbooks represent the definitive thinking of the nation’s finest legal minds. ✓ Written by expert contributors ✓ Cited by the courts ✓ Timely, relevant coverage of recent events ✓ Priced at an exceptional value ✓ Available online View PLI’s full library of course handbooks at www.pli.edu/coursehandbooks

REINSURANCE LAW

John S. Diaconis (Bleakley, Platt & Schmidt, LLP) and Douglas W. Hammond (National Financial Partners Corporation)

Written by practitioners with hands-on reinsurance experience, this treatise introduces readers to the concept of reinsurance and the federal and state regulatory pressures affecting them. Its grounded insights are great for insurance attorneys, regulators, investment advisers, and other types of readers. Through engaging examples and clear-cut discussions, the authors walk readers through the basics of reinsurance, along with its attendant benefits, drawbacks, coverage options, and compliance considerations. Some of the concepts and regulations broached include the utmost good faith doctrine, the follow-the-fortunes doctrine, intermediaries, late notice on loss and claim reporting, arbitration and litigation considerations, finite reinsurance, and synthetic reinsurance. The book also includes helpful sample clauses covering the various reinsurance agreements, clauses, and certificates practitioners will draft and encounter. It also features a helpful checklist that discusses liability mitigation for cedents and reinsurers to avoid disputes. Keep up with important changes with PLI’s Upkeep Service. 1 looseleaf volume, 424 pages, $474, Item #615, ISBN 978-1-4024-0615-7, Updated annually or as needed

VARIABLE ANNUITIES AND OTHER INSURANCE INVESTMENT PRODUCTS

Edited by Clifford E. Kirsch (Eversheds Sutherland (US) LLP)

This work offers accessible guidance to the federal and state regulation of variable annuities and insurance investment products — along with regulatory issues arising from the SEC, the Financial Industry Regulatory Authority, and state authorities. Insurance and securities attorneys — along with anyone who offers and manages insurance investment products — will learn the professional duties and compliance responsibilities expected of issuers of insurance investment products. The contributing authors offer instructive examples around variable insurance product design, approvals, administration and distribution, marketing, and inspections. The book provides discussions addressing special investment products, state insurance licensing requirements and suitability rules, index-linked variable annuities, registered index-linked annuities (RILA), and life settlements. Track new updates with PLI’s Upkeep Service. 2 looseleaf volumes, 2,154 pages, $737, Item #240085, ISBN 978-1-4024-3044-2, Updated annually or as needed

42 | Click on Book Title to Order

Made with FlippingBook. PDF to flipbook with ease