Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights Featured insights February 11, 2025 Client Update A stablecoin bill is first out of the gate as crypto legislation gains momentum Senator Hagerty’s new stablecoin bill – with bipartisan support – builds on several prior bills. The bill offers a c... January 24, 2025 Client Update CTA remains enjoined pursuant to separate nationwide injunction, despite recent SCOTUS decision While the Supreme Court granted the government’s motion to stay the nationwide injunction issued in Texas Top Cop Shop, ... January 21, 2025 Client Update The future of payments and banking under the Trump administration A federal payments charter has been on the policy agenda since the first Trump administration and has garnered support fro... January 14, 2025 Client Update United States expands sanctions targeting Russia’s energy sector OFAC and the U.S. State Department significantly broadened sanctions targeting Russia’s energy sector by imposing blocki... December 27, 2024 Client Update Fifth Circuit reinstates injunction on Corporate Transparency Act; reporting requirements on pause Reversing an order issued earlier this week, the Fifth Circuit reinstated the nationwide injunction on enforcement of the ... See more insights July 29, 2015 Articles & Books The Role of Bankruptcy Reform in Addressing Too-Big-To-Fail July 16, 2015 Client Update Dodd-Frank Turns Five This special Progress Report marks the five-year anniversary of the Dodd-Frank Act. To highlight the anniversary, we have ... July 3, 2015 Client Update ESMA Assessment of Equivalence of Israeli Laws and Regulations on Prospectuses On June 29, 2015, the European Securities and Markets Authority (“ESMA”) published an updated opinion on the additiona... June 24, 2015 Client Update SEC and CFTC Turn to Swaps and Security-Based Swaps Enforcement The week of June 15, 2015 saw two of the first publicly announced enforcement actions brought by the SEC and CFTC to enfor... June 12, 2015 Articles & Books How to Implement Payments to Unregistered Persons Rule Broker/dealers are frequently asked to make payments to finders, service providers and other intermediaries in connection ... June 12, 2015 Articles & Books Volcker Prop Trading Provisions: How Firms Are Preparing The July 21 Volcker rule compliance date is approaching rapidly. While most affected firms have completed the year-plus lo... June 5, 2015 Client Update New York’s Final "BitLicense" Rule: Overview and Changes from the July 2014 Proposal The New York Department of Financial Services (NYDFS) has published its final “BitLicense” rule for virtual currency b... June 1, 2015 Client Update SEC Re-Proposes Rules on Arranging, Negotiating or Executing Security-Based Swaps in the United States On May 13, 2015, the SEC published proposed amendments and re-proposed rules on the application of certain Title VII requi... May 11, 2015 Client Update Department of Labor – Fiduciary Advice Definition and Conflict of Interest Rule On April 14, 2015, the U.S. Department of Labor (“DOL”) released its long-awaited re-proposed regulation redefining wh... April 6, 2015 Client Update FINRA Issues Regulatory Notices on Algorithmic Trading Strategies The Financial Industry Regulatory Authority recently issued two Regulatory Notices concerning algorithmic trading as part ... Load More
February 11, 2025 Client Update A stablecoin bill is first out of the gate as crypto legislation gains momentum Senator Hagerty’s new stablecoin bill – with bipartisan support – builds on several prior bills. The bill offers a c...
January 24, 2025 Client Update CTA remains enjoined pursuant to separate nationwide injunction, despite recent SCOTUS decision While the Supreme Court granted the government’s motion to stay the nationwide injunction issued in Texas Top Cop Shop, ...
January 21, 2025 Client Update The future of payments and banking under the Trump administration A federal payments charter has been on the policy agenda since the first Trump administration and has garnered support fro...
January 14, 2025 Client Update United States expands sanctions targeting Russia’s energy sector OFAC and the U.S. State Department significantly broadened sanctions targeting Russia’s energy sector by imposing blocki...
December 27, 2024 Client Update Fifth Circuit reinstates injunction on Corporate Transparency Act; reporting requirements on pause Reversing an order issued earlier this week, the Fifth Circuit reinstated the nationwide injunction on enforcement of the ...
July 16, 2015 Client Update Dodd-Frank Turns Five This special Progress Report marks the five-year anniversary of the Dodd-Frank Act. To highlight the anniversary, we have ...
July 3, 2015 Client Update ESMA Assessment of Equivalence of Israeli Laws and Regulations on Prospectuses On June 29, 2015, the European Securities and Markets Authority (“ESMA”) published an updated opinion on the additiona...
June 24, 2015 Client Update SEC and CFTC Turn to Swaps and Security-Based Swaps Enforcement The week of June 15, 2015 saw two of the first publicly announced enforcement actions brought by the SEC and CFTC to enfor...
June 12, 2015 Articles & Books How to Implement Payments to Unregistered Persons Rule Broker/dealers are frequently asked to make payments to finders, service providers and other intermediaries in connection ...
June 12, 2015 Articles & Books Volcker Prop Trading Provisions: How Firms Are Preparing The July 21 Volcker rule compliance date is approaching rapidly. While most affected firms have completed the year-plus lo...
June 5, 2015 Client Update New York’s Final "BitLicense" Rule: Overview and Changes from the July 2014 Proposal The New York Department of Financial Services (NYDFS) has published its final “BitLicense” rule for virtual currency b...
June 1, 2015 Client Update SEC Re-Proposes Rules on Arranging, Negotiating or Executing Security-Based Swaps in the United States On May 13, 2015, the SEC published proposed amendments and re-proposed rules on the application of certain Title VII requi...
May 11, 2015 Client Update Department of Labor – Fiduciary Advice Definition and Conflict of Interest Rule On April 14, 2015, the U.S. Department of Labor (“DOL”) released its long-awaited re-proposed regulation redefining wh...
April 6, 2015 Client Update FINRA Issues Regulatory Notices on Algorithmic Trading Strategies The Financial Industry Regulatory Authority recently issued two Regulatory Notices concerning algorithmic trading as part ...