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On June 24, CARB announced that it is deferring the deadline for initial Scope 1 and Scope 2 greenhouse gas emissions reporting under SB 253 from August 10, 2026, to November 10, 2026, an...
The FDIC has proposed a major revamp of its confidential supervisory information regulations that would significantly expand the ability of FDIC-supervised insured depository institutions...
The FDIC has proposed a major overhaul of its IDI resolution planning rule that would streamline resolution submissions to focus on information that the FDIC believes is most critical. Ch...
In this issue, we discuss a Risk Alert issued by the SEC’s Division of Examinations regarding conflicts of interest involving investment advisers, and a recent enforcement action agains...
FinCEN and the federal banking agencies have taken additional steps to implement the AML/CFT and sanctions compliance obligations under the GENIUS Act through proposed rules related to Cu...
On 27 May 2026, the Hong Kong Monetary Authority and the Securities and Futures Commission issued guidance to registered and licensed entities relaxing certain regulatory expectations for...
Between January and April 2026, the SEC filed 57 actions against a combined total of 112 defendants and respondents. (These figures exclude follow-on actions, bars, and suspensions.) Ther...
The SEC and CFTC have jointly requested public comment as they consider updating classification rules for innovative financial products, including event contracts and perpetual contracts.
Recent Hong Kong District Court decision highlights the importance of adopting clear language when drafting the governing law and jurisdiction clauses in Chinese to avoid costs, delays, a...