Corporate, Financial, SEC, & Banking Law Updates

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The Financial institutions and banking sectors are highly regulated in the US and throughout the world with stiff penalties for failure to comply with regulations. The National Law Review addresses legal issues, compliance concerns, financial regulatory schemes, broker-deals, insolvency and restructuring, and structured transaction negotiations.

Regulatory Agencies with Financial Services

Readers can learn about new loan transactions, international trade agreements, mortgage loans and bank financing legislation, and other news as it unfolds in the US and around the world. Details that are covered by governmental and regulatory agencies including the Commodity Futures Trading Commission (CFTC), the Consumer Financial Protection Bureau (CFPB), and the Financial Industry Regulatory Authority (FINRA), are routinely updated on the site. With ongoing agency news dealing with the CFPB, agency directors, and nominations to financial and banking agencies, the National Law Review constantly adds new cases and newsreaders want to remain informed about.

Global Financial Services

International banking and financial institutions news is also covered on the National Law Review. UK regulatory framework covered, including the Australian crowd-sourced funding regime, and EU’s Markets in Financial Instruments Directive (MiFID), along with international insolvency, news, and legislation from around the world, which are linked to non-US foreign banks and institutions, are regularly published online.  Additionally, the legal experts at the National Law Review consistently offer updates on the United Kingdom Financial Conduct Authority and the effects of Brexit.

Financial Services and Innovation

The National Law Review also covers hot topics such as financial services law and FinTech (financial technology). Additionally, we cover topics like bitcoin, cryptocurrency transactions, SEC regulations, blockchain technologies, and compliance under finance laws like the Dodd-Frank Wall Street Reform and Consumer Protection Act. Additionally, cases and news which is governed under the Federal Reserve Act, the Fair Credit and Reporting Act, Gramm-Leach-Bliley Act, and Equal Credit Opportunity Act, are also analyzed in articles on the site.

Securities & the SEC

The mission of the U.S. Securities and Exchange Commission is to protect investors, maintain fair, orderly, and efficient markets, and facilitate capital formation. The National Law Review covers news and updates coming out of the SEC, including information about updates on the US SEC EDGAR system and related requirements, rules designed to limit and enforce rules against Insider Trading and Anti-Money Laundering settlements. Additionally, analysis of the SEC Division of Investment Management leadership and proposed rulemakings.

National Law Review Financial Regulation and Banking Law TwitterFor hourly updates on the latest news about Wall Street, banking, financial, securities/SEC regulations, laws, and legislation be sure to follow our Financial, Banking, and Securities Law Twitter feed, and sign up for complimentary e-news bulletins.

Recent Corporate Law, Securities/SEC, & Financial Institution Law News

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Feb
18
2015
Jordan Barab Gives Regulatory Update at Small Business Association (SBA) Roundtable Meeting Jackson Lewis P.C.
Feb
18
2015
SEC and FINRA Issue Results of Cybersecurity Examinations Vedder Price
Feb
18
2015
Recent Case Law Illustrates Importance of Wording for "Final Adjudication" Requirement in D&O Exclusions Barnes & Thornburg LLP
Feb
18
2015
Does The SEC Have Hedging Backwards? Allen Matkins Leck Gamble Mallory & Natsis LLP
Feb
18
2015
Antitrust Enforcement in China: Understanding the Framework of the Anti-Monopoly Law Sheppard, Mullin, Richter & Hampton LLP
Feb
17
2015
ESMA Publishes Technical Advice on New EU Market Abuse Regime Katten
Feb
17
2015
UK Financial Conduct Authority (FCA) Releases Updated Transaction Reporting User Pack Katten
Feb
17
2015
Eleventh Circuit Affirms Arbitration Dismissal in Favor of Investor’s Estate in Clawback Suit Katten
Feb
17
2015
SEC Proposes Rules for Disclosure of Companies’ Hedging Policies Katten
Feb
17
2015
CFTC Extends Relief From Certain Ownership and Control Reporting (OCR) Requirements Katten
Feb
17
2015
Agencies Issue Tool for Calculating Capital Requirements for Securitization Exposures Katten
Feb
17
2015
Revealed! The Numbers The California Attorney General Didn’t Want You To See re: Whistleblowers Allen Matkins Leck Gamble Mallory & Natsis LLP
Feb
17
2015
Delaware Independent Director Liability in Control Buyout Cases Proskauer Rose LLP
Feb
17
2015
FDIC Issues Private Letter to Elaborate on Brokered Deposit FAQ Katten
Feb
17
2015
SEC Publishes Rules for Reporting Security-Based Swaps Katten
Feb
17
2015
Eleventh Circuit Affirms Conviction of Haitian Telecommunications Executive for Role in a Bribery Scheme Katten
Feb
16
2015
OCC Releases Bulletin Summarizing Interim Final Rule on Subordinated Debt Issued by National Banks Katten
Feb
16
2015
UK Financial Conduct Authority (FCA) Reviews Regulatory Regime for Crowdfunding and Promotion of Non-Readily Realizable Securities by Other Media Katten
Feb
16
2015
Hat in Hand for Budget; OCR; Overcharges; Swaps Clearing and Execution - Bridging the Week: February 9 to 13 and 16, 2015 Katten
Feb
16
2015
SBA Issues New Rule On Small Business Status Advisory Opinions Covington & Burling LLP
Feb
12
2015
Trademarks, Copyrights, and Patents: Why Business Owners Should Care About Intellectual Property Varnum LLP
Feb
12
2015
SEC Proposes New Proxy Rules for the Disclosure of Hedging by Directors, Officers, and Other Employees Womble Bond Dickinson (US) LLP
Feb
12
2015
CalPERS Global Governance Program Targets Income Inequality Allen Matkins Leck Gamble Mallory & Natsis LLP
Feb
12
2015
Pharmaceutical Manufacturer Agrees to Pay U.S. Government $7.9 Million for Alleged Kickback Scheme Tycko & Zavareei LLP
Feb
11
2015
SEC Proposes Hedging Policy Disclosure Requirement Morgan, Lewis & Bockius LLP
Feb
11
2015
Second Circuit Clarifies that Allegations of Direct Fraudulent Representations Are Not Necessary for Market Manipulation Claims Under Section 10(b) and Rule 10b-5 Sheppard, Mullin, Richter & Hampton LLP
Feb
11
2015
Annual H-1B Visa Quota Will Open on April 1, 2015 Sheppard, Mullin, Richter & Hampton LLP
Feb
11
2015
SEC Proposes Disclosure Rules on Hedging Policies Mintz
 

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