Administrative & Regulatory

Administrative agencies and changes in the area of regulatory law, are two areas of law which are regularly covered in the news media. And, because these areas of law change frequently, it is important to have the latest news which is available. The National Law Review covers the latest administrative and regulatory actions as they unfold. From appointment of new Administrative law judges (ALJs), to the appointment of the Officer of Management and Budget office in Mick Mulvaney, the National Law Review covers this, and other agency and regulatory news as it unfolds.

New regulations in tax-law, rulemaking decisions, the Securities and Exchange Commission (SEC), and the latest news in regulatory agendas, are reported on daily on NLR’s website. The adjudication and enforcement of regulatory agendas, new appointments to government offices and agencies, and news from the federal and state-level, is updated on the National Law Review daily. Readers can find information about new legislation, law-making, changes in government agencies, the appointment of new directors, and litigation involving administrative and regulatory news as it unfolds.

Anything encompassing new government regulations will also be found under the administrative and regulatory law section on The National Law Review. Regulations made by government agencies via the powers appointed to them by statutes or the Constitution are highly covered topics on the National Law Review as well. For visitors who want the latest information on the new administration which is heading the CFPB, to reading about new state regulations where they live, will find such topics covered on NLR.

Because news is unfolding on a regular basis, visitors want to read about the latest topics, areas of concern, and rulemaking which might affect them in the future. The National Law Review adds new content on a daily basis, meaning visitors will always have up-to-date legal analysis on regulations that may impact their business.

 

For hourly updates on the latest in legal, legislation, government regulation, and corporate law news, be sure to follow the National Law Review Twitter feed, and sign up for complimentary e-news bulletins.

 

Custom text Title Sort descending Organization
Jul
12
2013
Securities and Exchange Commission (SEC) Lifts Advertising Ban on Private Offerings: What It Means for Private Equity, Hedge and Venture Capital Funds Mintz
Jul
17
2013
Securities and Exchange Commission (SEC) Lifts Ban on Advertising for Private Investment Funds Vedder Price
Jul
11
2013
Securities and Exchange Commission (SEC) Lifts Ban on General Solicitation in Certain Private Securities Transactions; Disqualifies 'Bad Actors' from Rule 506 Offerings Greenberg Traurig, LLP
Jul
30
2013
Securities and Exchange Commission (SEC) Lifts Ban on General Solicitations for Certain Private Placements Lowndes, Drosdick, Doster, Kantor & Reed, P.A.
Apr
25
2014
Securities and Exchange Commission (SEC) Municipalities Continuing Disclosure Cooperation Initiative Targets Issuers and Underwriters with a “Prisoner’s Dilemma” Bracewell LLP
Jun
19
2014
Securities and Exchange Commission (SEC) Municipalities Continuing Disclosure Cooperation Initiative Update Dickinson Wright PLLC
Feb
6
2014
Securities and Exchange Commission (SEC) No-Action Letter Addresses “M&A Brokers” Allen Matkins Leck Gamble Mallory & Natsis LLP
Mar
17
2014
Securities and Exchange Commission (SEC) No-Action Letter Provides Relief for Mergers and Acquisitions (M&A) Brokers Armstrong Teasdale
Jun
20
2014
Securities and Exchange Commission (SEC) Obtains Settlement for Investment Adviser’s Real Estate Investment Fraud Katten
Apr
10
2014
Securities and Exchange Commission (SEC) Offers Guidance On Use of Social Media Commentary by Investment Advisers Faegre Drinker
Jul
10
2013
Securities and Exchange Commission (SEC) Proposed Money Market Reform: An Analysis of Fund Director Responsibilities Faegre Drinker
Oct
10
2013
Securities and Exchange Commission (SEC) Proposes Additional Amendments to Form D, Regulation D and Rule 156 Under the Securities Act Vedder Price
Sep
22
2013
Securities and Exchange Commission (SEC) Proposes Disclosure of Difference Between CEO and Worker Pay Barnes & Thornburg LLP
Oct
11
2013
Securities and Exchange Commission (SEC) Proposes Pay Ratio Disclosure Rule Hunton Andrews Kurth
Oct
2
2013
Securities and Exchange Commission (SEC) Proposes Pay Ratio Disclosure Rules Michael Best & Friedrich LLP
Oct
4
2013
Securities and Exchange Commission (SEC) Proposes Pay Ratio Rule Womble Bond Dickinson (US) LLP
Sep
25
2013
Securities and Exchange Commission (SEC) Proposes Rule on Required CEO Pay Ratio Disclosure Morgan, Lewis & Bockius LLP
Sep
20
2013
Securities and Exchange Commission (SEC) Proposes Rule Regarding Disclosure of CEO-to-Worker Pay Ratio Katten
Jun
20
2013
Securities and Exchange Commission (SEC) Provides Guidance on Dodd-Frank Conflict Minerals Rule Hunton Andrews Kurth
Mar
11
2014
Securities and Exchange Commission (SEC) Provides Limited Business Broker Registration Relief for Private Company Mergers and Acquisitions (M&A) Transactions Hunton Andrews Kurth
Feb
5
2014
Securities and Exchange Commission (SEC) Provides No-Action Relief for M&A (Mergers and Acquisition) Brokers Morgan, Lewis & Bockius LLP
Jun
21
2014
Securities and Exchange Commission (SEC) Releases Guidance on Affiliated Transactions of Series Investment Companies Katten
Jul
16
2013
Securities and Exchange Commission (SEC) Releases Money Market Fund Reform Proposals Godfrey & Kahn S.C.
Jul
16
2013
Securities and Exchange Commission (SEC) Removes Prohibition on General Solicitation for Certain Private Offerings to Accredited Investors Godfrey & Kahn S.C.
May
12
2013
Securities and Exchange Commission (SEC) Reopening Comment Periods for Certain Rulemaking Releases and Policy Statement Applicable to Security-Based Swaps Katten
May
10
2014
Securities and Exchange Commission (SEC) Reopens Comment Period on Proposed Target Date Retirement Fund Marketing Rules Vedder Price
Feb
16
2014
Securities and Exchange Commission (SEC) Sanctions CEO and CCO of Formerly Registered Investment Adviser for Custody Rule Violations; Accountants Barred from SEC Practice for Failure to Complete Surprise Examination Godfrey & Kahn S.C.
Feb
12
2014
Securities and Exchange Commission (SEC) Sanctions Investment Adviser and President/Chief Compliance Officer for False and Misleading Advertisements Vedder Price
Oct
10
2013
Securities and Exchange Commission (SEC) Sanctions Portfolio Manager for Forging Documents and Misleading Chief Compliance Officer Vedder Price
Jul
11
2013
Securities and Exchange Commission (SEC) Sanctions Revlon Financial Makeover; Tips for Setting a Strong Foundation for Going Private Transaction Success Faegre Drinker
Dec
12
2013
Securities and Exchange Commission (SEC) Sanctions Three Investment Advisory Firms for Violating Custody Rule Vedder Price
May
11
2014
Securities and Exchange Commission (SEC) Settles Charges Against Investment Adviser for Improperly Calculating Advisory Fees and Overcharging Clients Vedder Price
Jun
6
2013
Securities and Exchange Commission (SEC) Staff Issues FAQs on Conflict Minerals Reporting Morgan, Lewis & Bockius LLP
Feb
13
2014
Securities and Exchange Commission (SEC) Staff Issues Guidance on Exemption for Advisers to Venture Capital Funds Godfrey & Kahn S.C.
Jul
11
2013
Securities and Exchange Commission (SEC) Staff Issues Guidance on the Conflict Minerals Rule Faegre Drinker
Mar
6
2014
Securities and Exchange Commission (SEC) Staff Member Comments on Recent Sub-Transfer Agency Examinations Vedder Price
Apr
8
2014
Securities and Exchange Commission (SEC) Staff Member Discusses Planned Sweep Examination of Alternative Funds Vedder Price
Feb
11
2014
Securities and Exchange Commission (SEC) Staff Releases 2014 Examination Priorities Vedder Price
Apr
24
2014
Securities and Exchange Commission (SEC) to Examine Registered Broker-Dealers’ and Investment Advisers’ Procedures for Countering Cybersecurity Threats Faegre Drinker
Feb
12
2013
Securities and Exchange Commission (SEC) Weighs in on Intercontinental Regional Center Trust of Chicago (IRCTC) Greenberg Traurig, LLP
Oct
10
2013
Securities and Exchange Commission (SEC)'s Office of Compliance Inspections and Examinations Issues Risk Alert on Advisers' Business Continuity and Disaster Recovery Planning Vedder Price
Sep
8
2011
Securities and Exchange Commission Adopts Large Trader Reporting Rule Hunton Andrews Kurth
May
4
2023
Securities And Exchange Commission Amends Rules For Share Repurchase Disclosures Allen Matkins Leck Gamble Mallory & Natsis LLP
Nov
29
2022
Securities and Exchange Commission Announces FY 2022 Enforcement Results Bradley Arant Boult Cummings LLP
Oct
9
2020
Securities and Exchange Commission Modernizes Disclosure Requirements For Financial Institutions Polsinelli PC
Jun
17
2021
Securities and Exchange Commission Reopens Debate on Universal Proxy Proposal Jones Walker LLP
Aug
30
2022
Securities and Exchange Commission Significantly Expands Executive Compensation Disclosures K&L Gates
Aug
26
2013
Securities and Exchange Commission's (SEC) Alleged Failure to Notify Securities Investor Protection Corporation (SIPC) of Ponzi Scheme Does Not Create Liability Katten
Sep
20
2013
Securities and Exchange Commission's (SEC) New Regulation D Rules Become Effective September 23, 2013 von Briesen & Roper, s.c.
Aug
14
2013
Securities and Exchange Commission's (SECs) Investor Advisory Committee Pushes For Oddly Named “Universal Proxy Ballots” Allen Matkins Leck Gamble Mallory & Natsis LLP
 

NLR Logo

We collaborate with the world's leading lawyers to deliver news tailored for you. Sign Up to receive our free e-Newsbulletins

 

Sign Up for e-NewsBulletins