Securities SEC

The National Law Review provides readers the latest information, legislation, and news regarding Securities and the SEC, from the Securities and Exchange Commission (SEC) and topics covered under the Securities Exchange Act of 1934.

Securities Exchange Commission

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. 

CFTC & FINRA

Commodities Futures and Trading Commission (CFTC) topics are discussed as they unfold on the NLR. Readers can learn about the latest cybersecurity regulations for companies engaging in bitcoin transactions, and how businesses can accept cryptocurrencies as valid, legal-tender. They can read about how M&A transactions are affected by tax-legislation, new legislation and regulations related to insider-trading, learn about ‘no-poach’ agreements, to securities fraud with the news covered online.  Additionally, the National Law Review covers information related to the Financial Industry Regulatory Authority (FINRA), including rule changes related to the organization and updates on FINRA enforcement priorities.

Securities around the World

The European Securities and Markets Authorities (ESMA) and Australian Securities and Investment Commission (ASIC) news and information, is also prominently covered on The National Law Review. So, foreign investors, US-based businesses, tax implications, and other topics which revolve around the international-realm, and securities, can be found on NLR.

Visitors will find both national and international news and cases surrounding the SEC, securities regulation commissions, and international-Securities markets. Whether readers are interested in learning about new legislation, upcoming changes to Visa programs or possible tax concerns with their foreign investments, The National Law Review has up to date news, and cases, which will cover these, and any other topics of interest in the securities market.

For hourly updates on the latest news about securities/SEC regulations, corporate & business law, compliance and more securities & business law news, be sure to follow our Finance and Securities Law Twitter feed and sign up for complimentary e-news bulletins.

Custom text Title Organization
Mar
10
2015
SEC Proposes Rules for Disclosure of Hedging by Employees, Officers and Directors Vedder Price
Mar
10
2015
SEC Settles Charges Against Adviser for Failure to Maintain Fund Assets with Qualified Custodian and Other Compliance Violations Vedder Price
Mar
10
2015
ISDA Recommends Measures to Enhance Derivatives Trade Reporting and Transparency Vedder Price
Mar
10
2015
SEC Turns Up the Heat on Issuer Officials Foley & Lardner LLP
Mar
10
2015
SEC Division of Investment Management Issues Guidance Regarding Gifts and Entertainment under Section 17(e)(1) Vedder Price
Mar
10
2015
Georgia Complaint Challenges Constitutionality of SEC Administrative Proceedings Katten
Mar
9
2015
Bridging the Week: Compliance Officer Sanctioned; EFRPs Redux; Lax Supervision; LME Reform [VIDEO] Katten
Mar
6
2015
Banker Settles with SEC for Role in Olympus Scandal Katten
Mar
6
2015
Meeting of the SEC Advisory Committee on Small and Emerging Companies Katten
Mar
6
2015
Oxfam America Argues SEC Has “Unlawfully Withheld And Unreasonably Delayed” Resource Extraction Rule Allen Matkins Leck Gamble Mallory & Natsis LLP
Mar
5
2015
Floyd Advisory’s Analysis of 2014 SEC Enforcement Actions Mintz
Mar
5
2015
SEC Enforcement Director Discusses Issues for Pharmaceutical and Medical Technology Companies Mintz
Mar
5
2015
California Bill Would Authorize Payments For Commercial Loan Referrals Allen Matkins Leck Gamble Mallory & Natsis LLP
Mar
4
2015
New Guidance from the SEC on Gifts to Adviser Personnel Morgan, Lewis & Bockius LLP
Mar
4
2015
First SEC Whistleblower Award To Former Company Officer Proskauer Rose LLP
Mar
4
2015
SEC Recommends “Localized” FCPA Controls For Foreign Subsidiaries Morgan, Lewis & Bockius LLP
Mar
4
2015
Are LLC Interests Securities in California? Allen Matkins Leck Gamble Mallory & Natsis LLP
Mar
4
2015
SIFMA Gets Its Cybersecurity-Antitrust Wish - Securities Industry and Financial Markets Association Brooks, Pierce, McLendon, Humphrey & Leonard, LLP
Mar
3
2015
SCOTUS Limits Definition of “Tangible Object” under Sarbanes-Oxley Act Barnes & Thornburg LLP
Mar
3
2015
AICPA Issues Interpretation Clarifying Application of Third-Party Due Diligence Report Rules to AUP Engagements Morgan, Lewis & Bockius LLP
Mar
3
2015
The SEC Will Be Your Employment Law Agency, Too Brooks, Pierce, McLendon, Humphrey & Leonard, LLP
Mar
3
2015
Lessons from the OECD Foreign Bribery Report: Organization for Cooperation and Economic Development Mintz
Mar
3
2015
Two-Factor Authentication May Be Coming to a Bank Near You Brooks, Pierce, McLendon, Humphrey & Leonard, LLP
Mar
2
2015
SEC Provides Guidance on Receipt of Gifts by Fund Advisory Personnel Faegre Drinker
Mar
2
2015
Bridging the Week: CCP Report Cards; HFTs; Wash Trades; CFTC Lawsuit Against Attorney; Insider Trading; Conflicts [VIDEO] Katten
Mar
2
2015
Federal Reserve Remains Under Scrutiny; CFTC Reopens Comment Period On Position Limits, Staff To Hold Roundtable Squire Patton Boggs (US) LLP
Mar
2
2015
Goodyear Settles SEC’s FCPA Charges for $16M – Investigation Underscores Importance of Pre-Acquisition Due Diligence and Oversight of Foreign Subsidiaries Faegre Drinker
Mar
2
2015
Broad Coalition Delivers Blunt Rebuke To SEC Chairman Allen Matkins Leck Gamble Mallory & Natsis LLP
Mar
1
2015
SEC Continues to Investigate Contractual Impediments to Whistleblower Complaints Proskauer Rose LLP
Mar
1
2015
M and A Due Diligence Failures: FCPA and Goodyear Barnes & Thornburg LLP
Feb
27
2015
Second Circuit Holds That SIPA Does Not Permit an Inflation or Interest Adjustment to “Net Equity” Claims For Customer Property Sheppard, Mullin, Richter & Hampton LLP
Feb
27
2015
Goodyear Pays for Sins of Subsidiaries in $16 Million Settlement Proskauer Rose LLP
Feb
27
2015
ESMA and JFSA Conclude a Memorandum of Understanding Regarding CCPs Katten
Feb
27
2015
Highlights from SEC Speaks 2015: Enforcement and Litigation Trends Vedder Price
Feb
27
2015
Is Anything Fishy With The SEC’s Whistleblower Inquiries? Allen Matkins Leck Gamble Mallory & Natsis LLP
 

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