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

Title
Custom text Organization
Apr
29
2020
Main Street Lending Program: Revised Term Sheets Expected Soon Varnum LLP
Sep
24
2011
Enhanced Cooperation between the Banking Supervision in the Bank of Israel and the Banking Supervisory Authorities in the United States Greenberg Traurig, LLP
Mar
17
2013
FINRA (Financial Industry Regulatory Authority) Changes Membership Application Fees Katten
Dec
11
2013
Director of the Division of Investment Management Discusses Division Improvement Initiatives Vedder Price
Jan
27
2015
ERISA Section 4062(e) Significantly Reformed Effective December 16, 2014 McDermott Will & Emery
Jan
10
2023
It’s More Than 10b5-1 – a Lot More – and You Need to Get Ready Nelson Mullins
May
16
2017
BlackRock Settles Charges of Operating ETF Without Required SEC Exemptive Relief Vedder Price
Jan
19
2016
Equity Plan Considerations for IPO Companies Morgan, Lewis & Bockius LLP
Jan
24
2017
Automobile Companies Collide with Payment Providers K&L Gates
Dec
5
2017
Tax Reform: Insurance Provisions—Spotlight on Property & Casualty Insurers McDermott Will & Emery
Mar
14
2022
The Fine Art of Money Laundering: The Treasury Department’s Study on Money Laundering and Terrorist Financing in the Art Trade Squire Patton Boggs (US) LLP
Aug
12
2022
Episode Two | Managing Capitalization Structures and Investor Relationships in Today’s Digital Health Market [PODCAST] McDermott Will & Emery
Sep
11
2015
Monthly Futures Exchange Issuance Report: August 2015 Bracewell LLP
May
13
2016
FINRA Publishes Guidance With Respect to Reporting Large Options Positions Katten
Aug
31
2017
Despite Growing Regulatory Scrutiny, Initial Coin Offerings Remain Popular Morgan, Lewis & Bockius LLP
Jun
15
2018
European Parliament Adopts EMIR 2.1 Proposal Katten
Jan
15
2022
Leaving Your Job? Don’t Forget Your Stock Options… Foley & Lardner LLP
May
16
2022
DOJ Issues Charges in First Criminal Cryptocurrency Sanctions Case Mintz
Mar
1
2024
California Bill (AB-3129) Targets Private Equity and Hedge Fund Health Care Transactions Mintz
Feb
14
2018
EU Amends Restrictive Measures on the Democratic People’s Republic of Korea Squire Patton Boggs (US) LLP
Feb
18
2019
“Stand-Alone” REALLY Does Mean Stand-Alone - Ninth Circuit Court of Appeals Interprets the FCRA Foley & Lardner LLP
May
27
2019
New Bill Would Amend FCRA by Delaying Reporting of Medical Debt Womble Bond Dickinson (US) LLP
Jun
22
2020
PPP Oversight Efforts May Impact Lenders Cadwalader, Wickersham & Taft LLP
Sep
10
2021
SEC Issues an Investor Alert about Digital Asset and “Crypto” Investment Scams! Foley & Lardner LLP
Aug
13
2013
Now That Hedge Funds Can Advertise, What Are Commodity Pools – Chopped Liver? Faegre Drinker
Jun
3
2015
How New SEC Focus Will Affect South Florida Real Estate Private Equity Bilzin Sumberg
Oct
11
2018
Regulators Encourage Lower-risk Banks to Join Forces for Bank Secrecy Act and AML Compliance Covington & Burling LLP
Mar
21
2013
Recent SEC Settlements Serve as Cautionary Tale About the Use of Unregistered Broker-Dealers by Investment Advisers Hunton Andrews Kurth
 

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