Editor’s Note:
FINRA Rulemaking: In this issue we report on three recent FINRA rule amendments. The first amends the NASD rule on the use of customer account statements to require that member firms use more accurate...more
1/8/2015
/ Amended Regulation ,
Broker-Dealer ,
CFTC ,
Commodity Trading Advisors (CTAs) ,
CPOs ,
Family Offices ,
Financial Industry Regulatory Authority (FINRA) ,
Futures Commission Merchants (FCMs) ,
NASD ,
NYSE ,
REIT ,
Securities ,
Securities and Exchange Commission (SEC)
Regulatory Developments -
SEC Proposes Changes to Exchange Act Registration Requirements to Implement JOBS Act Mandates -
The SEC announced that it is proposing rule amendments under the Securities Exchange Act...more
12/24/2014
/ Asset Management ,
Bitcoin ,
BitLicense ,
CPOs ,
Employee Retirement Income Security Act (ERISA) ,
European Securities and Markets Authority (ESMA) ,
Federal Reserve ,
Financial Industry Regulatory Authority (FINRA) ,
FinCEN ,
FSOC ,
Investment Adviser ,
JOBS Act ,
MiFID ,
NFA ,
Proposed Amendments ,
Registration ,
Securities and Exchange Commission (SEC) ,
Securities Exchange Act ,
Volcker Rule ,
Year-End Planning
Editor’s Note -
Spotlight on FINRA Retrospective Rule Review: On December 9, FINRA announced it had issued reports on its retrospective review of two groups of rules – a report on the rules on communications with the...more
12/11/2014
/ ACH Payments ,
Banking Sector ,
BSA/AML ,
CFTC ,
Commodity Trading Advisors (CTAs) ,
CPOs ,
Examination Manual ,
FDIC ,
FFIEC ,
Financial Industry Regulatory Authority (FINRA) ,
Foreign Banks ,
Guidance Update ,
Information Reports ,
NACHA ,
NFA ,
OCC ,
Rare Earth Metals ,
Rulemaking Process ,
Securities and Exchange Commission (SEC) ,
Supervision ,
Transparency
Editor’s Note:
Spotlight on the FDIC: In a Financial Institutions Letter, FIL-56-2014, the FDIC announced additional guidance on its 1998 Statement of Policy on Applications for Deposit Insurance in a Q&A format on...more
11/26/2014
/ Annual Reports ,
Bankruptcy Code ,
Chapter 15 ,
Citigroup ,
Consumer Financial Protection Bureau (CFPB) ,
Deposit Insurance ,
Enforcement Statistics ,
FDIC ,
Financial Industry Regulatory Authority (FINRA) ,
Financial Institutions ,
Foreclosure ,
Guidance Update ,
NASD ,
NYSE ,
Regulation SCI ,
Securities and Exchange Commission (SEC)
FINRA Requests Comment on Proposed “Pay-to-Play” Rule -
FINRA issued Regulatory Notice 14-50 requesting comment on proposed “pay-to-play” and related rules that would regulate in a manner similar to Rule 206(4)-5 under...more
11/20/2014
/ Alternative Mutual Funds ,
Anti-Money Laundering ,
Civil Monetary Penalty ,
Crowdfunding ,
Dodd-Frank ,
Financial Industry Regulatory Authority (FINRA) ,
Investment Adviser ,
Investment Advisers Act of 1940 ,
Pay-To-Play ,
Proposed Regulation ,
Retroactivity ,
Securities and Exchange Commission (SEC) ,
Settlement ,
U.S. Treasury ,
Unregistered Securities ,
Variable Insurance
In this issue:
- In preliminarily denying two exemption requests, the SEC takes a stand for market transparency in ETFs and upholds the arbitrage mechanism that allows market prices to closely track NAVs.
-...more
10/30/2014
/ ABS ,
Administrative Hearings ,
Arbitrage ,
Asset-Backed Securities ,
Bank Secrecy Act ,
Disclosure Requirements ,
Enforcement Actions ,
ETFs ,
Financial Industry Regulatory Authority (FINRA) ,
FinCEN ,
Flood Insurance ,
Flood Zones ,
Money Services Business ,
Municipal Advisers ,
NAV ,
New Regulations ,
Private Equity Funds ,
Proposed Regulation ,
Risk Retention ,
Securities and Exchange Commission (SEC) ,
Transparency ,
Virtual Currency
Editor’s Note:
Bank Regulators Again Looking at Incentive Compensation and Excessive Risks. Federal Reserve Board Governor Daniel Tarullo and New York Federal Reserve President William Dudley spoke on October 20 at a...more
10/23/2014
/ Arbitration ,
Arbitrators ,
Banks ,
CFTC ,
CPOs ,
DSIO ,
Enforcement Actions ,
Falsified Documents ,
Federal Reserve ,
Financial Industry Regulatory Authority (FINRA) ,
Insider Trading ,
No-Action Relief ,
Securities and Exchange Commission (SEC)
Editor’s Note -
Looking Ahead: December 1 Effective Date for FINRA Consolidated Supervision Rules. The new FINRA Supervision rules, approved by the SEC in December 2013, become effective on December 1, 2014. The new...more
10/21/2014
/ Asset-Backed Securities ,
Banks ,
Broker-Dealer ,
DPPs ,
Federal Reserve ,
Financial Industry Regulatory Authority (FINRA) ,
ISDA ,
ISDA Master Agreement ,
NASD ,
REIT ,
Securities and Exchange Commission (SEC)
Spotlight on the MSRB: In the Industry Developments section we report that the SEC, FINRA and the MSRB will be conducting a compliance outreach program for municipal advisors. The Municipal Securities Rulemaking Board was...more
10/9/2014
/ CARDS ,
CPOs ,
ETFs ,
Financial Industry Regulatory Authority (FINRA) ,
Herbalife ,
Insider Trading ,
Investment Adviser ,
Municipal Advisers ,
NFA ,
Pay-To-Play ,
Public Comment ,
Securities and Exchange Commission (SEC)
In this Issue: Last week brought news of several enforcement actions by the SEC against investment advisers on a number of issues: Rule 105 of Regulation M, improper withdrawals characterized as management fees, violation of...more
The SEC recently approved amendments to simplify and refine the scope of FINRA corporate financing and underwriter conflicts of interest rules. The amendments include modifications that will affect not only underwriters and...more