Practice Mobile Menu Trigger Overview Experience Team Insights Subscribe to insights Featured insights July 26, 2026 Client Update GENIUS Act implementation after one year Just over a year has passed since the enactment of the GENIUS Act, and the latest possible effective date of the Act is un... July 6, 2026 Client Update FDIC proposes major revamp of CSI regulations The FDIC has proposed a major revamp of its confidential supervisory information regulations that would significantly expa... June 30, 2026 Client Update FDIC proposes overhaul of IDI resolution planning rule The FDIC has proposed a major overhaul of its IDI resolution planning rule that would streamline resolution submissions to... May 29, 2026 Client Update White House and Federal Reserve propose payment system access changes for fintech and crypto firms The White House and the Federal Reserve Board are looking to reshape the U.S. payments system by opening up access to fint... May 26, 2026 Client Update FFIEC proposes revisions to the CAMELS rating system The CAMELS rating revisions would be the first updates in 30 years and would focus supervisory ratings on material financi... April 27, 2026 Client Update Visual memo: Key changes under the federal banking agencies’ revised model risk management guidance The OCC, Federal Reserve, and FDIC released updated guidance on model risk management, which rescinds and supersedes prior... See more insights June 18, 2014 Client Update Volcker Rule: Observations on Interagency FAQs, OCC Interim Examination Guidelines More than six months after the release of final Volcker Rule regulations, banking organizations continue to grapple with a... June 18, 2014 Client Update Whistleblower Update: SEC Resolves First Case Under New Authority to Bring Anti-Retaliation Claim The Securities and Exchange Commission (“SEC”) announced a settlement on Monday, June 16, 2014 that marked its first c... June 5, 2014 Client Update American Bancorp.’s Involuntary Bankruptcy: A New Strategy for Distressed Investors in Trust Preferred Securities The involuntary chapter 11 bankruptcy filing of American Bancorporation (“American”), commenced by a group of distress... June 4, 2014 Client Update Second Circuit Vacates Judge Rakoff’s Rejection of Consent Settlement in SEC v. Citigroup Global Markets The United States Court of Appeals for the Second Circuit issued its long-awaited decision today on the appeal from Judge ... June 2, 2014 Client Update Dodd-Frank Progress Report - June 2014 In the past month, one rulemaking requirement was finalized and one rulemaking requirement was proposed. As of June 2, 20... May 27, 2014 Client Update Dodd-Frank Concentration Limit on Financial Institution M&A: Visual Memorandum The Federal Reserve has issued a proposal to implement the financial sector concentration limit in Section 622 of the Dodd... May 16, 2014 Client Update Enhancing the Effectiveness of the UK Listing Regime – implementation Significant new rules to strengthen the UK premium listing regime come into force today. The rules have been the subject o... May 16, 2014 Client Update SEC Proposes Recordkeeping, Reporting and Notification Requirements for Security-Based Swap Dealers and Major Security-Based Swap Participants The Securities and Exchange Commission (“SEC”) recently issued a proposal to establish a framework of recordkeeping, r... May 1, 2014 Client Update Dodd-Frank Progress Report - May 2014 In the past month, one rulemaking requirement was finalized and no rulemaking requirements were proposed. As of May 1, 20... April 29, 2014 Client Update DOJ and SEC Announce Filing of FCPA Enforcement Action Against Broker-Dealer Executives Continuing a flurry of recent enforcement activity under the U.S. Foreign Corrupt Practices Act (“FCPA”), the U.S. Dep... Load More
July 26, 2026 Client Update GENIUS Act implementation after one year Just over a year has passed since the enactment of the GENIUS Act, and the latest possible effective date of the Act is un...
July 6, 2026 Client Update FDIC proposes major revamp of CSI regulations The FDIC has proposed a major revamp of its confidential supervisory information regulations that would significantly expa...
June 30, 2026 Client Update FDIC proposes overhaul of IDI resolution planning rule The FDIC has proposed a major overhaul of its IDI resolution planning rule that would streamline resolution submissions to...
May 29, 2026 Client Update White House and Federal Reserve propose payment system access changes for fintech and crypto firms The White House and the Federal Reserve Board are looking to reshape the U.S. payments system by opening up access to fint...
May 26, 2026 Client Update FFIEC proposes revisions to the CAMELS rating system The CAMELS rating revisions would be the first updates in 30 years and would focus supervisory ratings on material financi...
April 27, 2026 Client Update Visual memo: Key changes under the federal banking agencies’ revised model risk management guidance The OCC, Federal Reserve, and FDIC released updated guidance on model risk management, which rescinds and supersedes prior...
June 18, 2014 Client Update Volcker Rule: Observations on Interagency FAQs, OCC Interim Examination Guidelines More than six months after the release of final Volcker Rule regulations, banking organizations continue to grapple with a...
June 18, 2014 Client Update Whistleblower Update: SEC Resolves First Case Under New Authority to Bring Anti-Retaliation Claim The Securities and Exchange Commission (“SEC”) announced a settlement on Monday, June 16, 2014 that marked its first c...
June 5, 2014 Client Update American Bancorp.’s Involuntary Bankruptcy: A New Strategy for Distressed Investors in Trust Preferred Securities The involuntary chapter 11 bankruptcy filing of American Bancorporation (“American”), commenced by a group of distress...
June 4, 2014 Client Update Second Circuit Vacates Judge Rakoff’s Rejection of Consent Settlement in SEC v. Citigroup Global Markets The United States Court of Appeals for the Second Circuit issued its long-awaited decision today on the appeal from Judge ...
June 2, 2014 Client Update Dodd-Frank Progress Report - June 2014 In the past month, one rulemaking requirement was finalized and one rulemaking requirement was proposed. As of June 2, 20...
May 27, 2014 Client Update Dodd-Frank Concentration Limit on Financial Institution M&A: Visual Memorandum The Federal Reserve has issued a proposal to implement the financial sector concentration limit in Section 622 of the Dodd...
May 16, 2014 Client Update Enhancing the Effectiveness of the UK Listing Regime – implementation Significant new rules to strengthen the UK premium listing regime come into force today. The rules have been the subject o...
May 16, 2014 Client Update SEC Proposes Recordkeeping, Reporting and Notification Requirements for Security-Based Swap Dealers and Major Security-Based Swap Participants The Securities and Exchange Commission (“SEC”) recently issued a proposal to establish a framework of recordkeeping, r...
May 1, 2014 Client Update Dodd-Frank Progress Report - May 2014 In the past month, one rulemaking requirement was finalized and no rulemaking requirements were proposed. As of May 1, 20...
April 29, 2014 Client Update DOJ and SEC Announce Filing of FCPA Enforcement Action Against Broker-Dealer Executives Continuing a flurry of recent enforcement activity under the U.S. Foreign Corrupt Practices Act (“FCPA”), the U.S. Dep...