Financial, Securities & Banking

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The Financial institutions and banking sectors are highly regulated in the US and throughout the world with stiff penalties for failure to comply with regulations. The National Law Review addresses legal issues, compliance concerns, financial regulatory schemes, broker-deals, insolvency and restructuring, and structured transaction negotiations.

Regulatory Agencies with Financial Services

Readers can learn about new loan transactions, international trade agreements, mortgage loans and bank financing legislation, and other news as it unfolds in the US and around the world. Details that are covered by governmental and regulatory agencies including the Commodity Futures Trading Commission (CFTC), the Consumer Financial Protection Bureau (CFPB), and the Financial Industry Regulatory Authority (FINRA), are routinely updated on the site. With ongoing agency news dealing with the CFPB, agency directors, and nominations to financial and banking agencies, the National Law Review constantly adds new cases and newsreaders want to remain informed about.

Global Financial Services

International banking and financial institutions news is also covered on the National Law Review. UK regulatory framework covered, including the Australian crowd-sourced funding regime, and EU’s Markets in Financial Instruments Directive (MiFID), along with international insolvency, news, and legislation from around the world, which are linked to non-US foreign banks and institutions, are regularly published online.  Additionally, the legal experts at the National Law Review consistently offer updates on the United Kingdom Financial Conduct Authority and the effects of Brexit.

Financial Services and Innovation

The National Law Review also covers hot topics such as financial services law and FinTech (financial technology). Additionally, we cover topics like bitcoin, cryptocurrency transactions, SEC regulations, blockchain technologies, and compliance under finance laws like the Dodd-Frank Wall Street Reform and Consumer Protection Act. Additionally, cases and news which is governed under the Federal Reserve Act, the Fair Credit and Reporting Act, Gramm-Leach-Bliley Act, and Equal Credit Opportunity Act, are also analyzed in articles on the site.

Securities & the SEC

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.

National Law Review Financial Regulation and Banking Law TwitterFor hourly updates on the latest news about Wall Street, banking, financial, securities/SEC regulations, laws, and legislation be sure to follow our Financial, Banking, and Securities Law Twitter feed, and sign up for complimentary e-news bulletins.

Recent Securities, SEC, & Financial Institution Law News

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Oct
8
2014
Risky Management: Cybersecurity Breaches and Social Media Use Are Top Concerns for Boards Morgan, Lewis & Bockius LLP
Oct
8
2014
Inversion Transactions Addressed in Treasury Notice Covington & Burling LLP
Oct
8
2014
Quantitative Easing: Who is the Federal Reserve Appeasing? Bilzin Sumberg
Oct
8
2014
California Court Of Appeal Embraces De Facto LLC Dissolution Allen Matkins Leck Gamble Mallory & Natsis LLP
Oct
8
2014
Top 10 IPO Tips from “On Your Mark, Get Set, IPO!” Mintz
Oct
8
2014
Canada’s P3 Success - Public Private Partnerships Bilzin Sumberg
Oct
8
2014
SEC Announces Enforcement Actions Against Public Companies and Corporate Insiders Based on Failure to Timely File Transaction Reports Greenberg Traurig, LLP
Oct
8
2014
SEC Charges Investment Advisory Firm with Failure to Disclose Conflict of Interest to Clients Vedder Price
Oct
7
2014
SEC Settles Multiple Enforcement Actions for Failure to Timely File Reports of Beneficial Ownership Vedder Price
Oct
7
2014
Search Funds: Catering to Canadian Investors McDermott Will & Emery
Oct
7
2014
Fifth Circuit Requests Input from the Supreme Court of Texas Regarding Interpretation of Commercial General Liability (“CGL”) Policy Exclusion Language Proskauer Rose LLP
Oct
7
2014
Multistate Taxpayers Take Note! Recap of the First Day of the Multistate Tax Commission (MTC) Pricing Summit McDermott Will & Emery
Oct
7
2014
California Raiders … Not the Football Kind Re: Employee Non-Recruitment Covenants Mintz
Oct
7
2014
SEC Settles Charges Against Barclays Capital for Compliance Failures After Acquisition of Lehman’s Advisory Business Vedder Price
Oct
7
2014
The Competition & Markets Authority Imposes Changes to the UK’s Audit Market with Significant Implications for FTSE 350 Companies Greenberg Traurig, LLP
Oct
7
2014
Taking Steps to Douse Factory Fire Risks Risk and Insurance Management Society, Inc. (RIMS)
Oct
7
2014
Energy and Environmental Law Update - October 6, 2014 Mintz
Oct
7
2014
Imposing The Corporate Death Penalty in California Allen Matkins Leck Gamble Mallory & Natsis LLP
Oct
6
2014
Understanding the Common Market for Eastern and Southern Africa (COMESA) Merger Control Regime McDermott Will & Emery
Oct
6
2014
Legend Removal Requires Proper “Request To Register Transfer” Re: Securities Allen Matkins Leck Gamble Mallory & Natsis LLP
Oct
4
2014
Securities Exchange Commission (SEC) Settles Insider Trading Case, Finding Roommate Relationship Created Duty of Trust and Confidence Katten
Oct
4
2014
Financial Conduct Authority (FCA) Updates Its Alternative Investment Fund Managers Directive (AIFMD) Reporting Webpage Katten
Oct
3
2014
Commodity Futures Trading Commission (CFTC) Extends Relief for Swap Execution Facilities (SEF)s and Designated Contract Markets (DCM)s from Straight-Through Processing Requirements for Package Transactions Katten
Oct
3
2014
Attorney-Client Privilege No Shield to Stockholder’s Demand for Internal Review Documents, Delaware High Court Rules Jackson Lewis P.C.
Oct
3
2014
European Securities and Markets Authority (ESMA) Consults on Draft Guidelines Clarifying the Definition of “Derivatives” Under Markets in Financial Instruments Directive (MiFID) Katten
Oct
3
2014
New California Law Aims At Clarifying Status Of Ex Officio Directors Allen Matkins Leck Gamble Mallory & Natsis LLP
Oct
3
2014
The European Commission Opens an Investigation into Transfer Pricing Practices Covington & Burling LLP
Oct
2
2014
U.S. Department of Justice’s Criminal Division Implements Procedure to Immediately Review Civil Division Qui Tam Cases von Briesen & Roper, s.c.
 

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