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
Feb
19
2014
Select Broker-Dealer, Investment Adviser, and Investment Company Enforcement Cases and Developments: 2013 Year in Review Morgan, Lewis & Bockius LLP
Feb
17
2014
National Futures Association (NFA) Issues Notice to Members Regarding Member Obligations Under NFA Bylaw 1101 and Compliance Rule 2-36(d) Katten
Feb
16
2014
Securities and Exchange Commission (SEC) Sanctions CEO and CCO of Formerly Registered Investment Adviser for Custody Rule Violations; Accountants Barred from SEC Practice for Failure to Complete Surprise Examination Godfrey & Kahn S.C.
Feb
16
2014
Securities and Exchange Commission (SEC) Files Insider Trading Action Despite Unknown Tipper Katten
Feb
14
2014
In Drafting A Release, You May Want To Define “Affiliate” Re: California Corporations Code Allen Matkins Leck Gamble Mallory & Natsis LLP
Feb
14
2014
Hedge Fund Adviser and Holding Company Agree to Pay Nearly $9 Million in SEC Settlement for Overvaluing Fund Assets Godfrey & Kahn S.C.
Feb
13
2014
SEC Division of Corporation Finance updates Rule 506 Compliance and Disclosure Interpretations Godfrey & Kahn S.C.
Feb
13
2014
Advisers Face Lawsuits Over Fees Charged to Subadvised Funds Godfrey & Kahn S.C.
Feb
13
2014
Securities and Exchange Commission (SEC) Files Complaint Against Money Market Fund Adviser and Portfolio Manager Godfrey & Kahn S.C.
Feb
13
2014
The CTFC: Armed and Dangerous - Commodity Futures Trading Commission Barnes & Thornburg LLP
Feb
13
2014
House Passes Bill Exempting Private Advisers From Registration Godfrey & Kahn S.C.
Feb
13
2014
Does The Government Really Pay Awards To Whistleblowers? Tycko & Zavareei LLP
Feb
13
2014
Securities and Exchange Commission (SEC) Staff Issues Guidance on Exemption for Advisers to Venture Capital Funds Godfrey & Kahn S.C.
Feb
12
2014
Securities and Exchange Commission (SEC) Charges Investment Adviser with Violations of the Federal Securities Laws Vedder Price
Feb
12
2014
Securities and Exchange Commission (SEC) Sanctions Investment Adviser and President/Chief Compliance Officer for False and Misleading Advertisements Vedder Price
Feb
12
2014
Have the Federal Securities Laws Been Eviscerated? Mintz
Feb
11
2014
Federal Securities Class Action Filings Grew 10% in 2013 Mintz
Feb
11
2014
Securities and Exchange Commission (SEC) Increases Focus on Cyber Security Vedder Price
Feb
11
2014
SEC (Securities and Exchange Commission) Announces 2014 Examination Priorities Godfrey & Kahn S.C.
Feb
11
2014
Would Disclosure Improve If The SEC (Securities and Exchange Commission) Used The “Magic Word” A Bit More Often? Allen Matkins Leck Gamble Mallory & Natsis LLP
Feb
11
2014
Securities and Exchange Commission (SEC) Staff Releases 2014 Examination Priorities Vedder Price
Feb
10
2014
Division of Investment Management Issues Guidance Regarding Risk Management for Fixed Income Funds Vedder Price
Feb
9
2014
SEC Extends Exemptions for Security-based Swaps - Securities and Exchange Commission Katten
Feb
9
2014
DOJ Wins Big Insider Trading Case: Martoma Conviction; Bad News for Cohen and SAC -Department of Justice Barnes & Thornburg LLP
Feb
9
2014
SEC Division of Corporation Finance Issues Guidance on Rule 506(c) Private Placements - Securities and Exchange Commission Katten
Feb
9
2014
Sometimes You Don't Have to Register - Securities and Exchange Commission Greenberg Traurig, LLP
Feb
9
2014
Martoma Securities Fraud Case by the Numbers Mintz
Feb
9
2014
Securities and Exchange Commission (SEC) Issues Risk Alert on Investment Advisers’ Due Diligence Processes for Selecting Alternative Investments Katten
Feb
8
2014
Securities and Exchange Commission (SEC) Issues No-action Relief Regarding Registration of Mergers and Acquisitions (M&A) Brokers Katten
Feb
8
2014
California Finders Bill Moves To Senate on 73-1 Vote Re: M&A Brokers Allen Matkins Leck Gamble Mallory & Natsis LLP
Feb
8
2014
US District Court for the Southern District of Florida Upholds SEC’s Partial Win in Bank Fraud Suit Katten
Feb
7
2014
US District Court for the Southern District of New York Grants SEC’s Final Summary Judgment Claim in Securities and Investment Advisor Fraud Case Katten
Feb
6
2014
Securities and Exchange Commission (SEC) No-Action Letter Addresses “M&A Brokers” Allen Matkins Leck Gamble Mallory & Natsis LLP
Feb
6
2014
Financial Industry Regulatory Authority (FINRA) and the U.S. Securities and Exchange Commission (SEC) to Focus on IRA Rollover Practices in 2014 Morgan, Lewis & Bockius LLP
Feb
5
2014
Securities and Exchange Commission (SEC) Provides No-Action Relief for M&A (Mergers and Acquisition) Brokers Morgan, Lewis & Bockius LLP
 

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