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Application of the correspondent account rule to OTC executing dealers
- Katten Muchin Rosenman LLP
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- USA
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- September 7 2007
The Financial Crimes Enforcement Network (FinCEN) has issued interpretive guidance to clarify the due diligence obligations of executing dealers in over-the-counter foreign exchange and derivatives markets pursuant to prime brokerage arrangements under the correspondent account provisions of the USA PATRIOT Act
President Obama signs Fraud Enforcement and Recovery Act of 2009 into law
- Reed Smith LLP
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- USA
- -
- June 5 2009
The Fraud Enforcement and Recovery Act of 2009 ("FERA" or "the Act") was signed into law by President Obama May 20, 2009, and became effective on that date
International regulatory update 4 Feb-8 Feb 2013
- Clifford Chance LLP
- -
- European Union, Germany, Global, Hong Kong, Singapore, United Kingdom, USA
- -
- February 11 2013
EMIR: European Parliament’s resolution to reject Delegated regulations withdrawn; MiFID review: EU Council Presidency publishes Compromise texts
New guidance on obtaining beneficial ownership information for mutual funds, broker-dealers, and other financial institutions
- Dechert LLP
- -
- USA
- -
- March 19 2010
The Financial Crimes Enforcement Network ("FinCEN"), FinCEN”), along with the Board of Governors of the Federal Reserve System, the Federal Deposit Insurance Corporation, the National Credit Union Administration, the Office of the Comptroller of the Currency, the Office of Thrift Supervision, and the Securities and Exchange Commission (“SEC”), in consultation with the Commodity Futures Trading Commission, issued a joint release on March 5, 2010, Guidance on Obtaining and Retaining Beneficial Ownership Information (the “Guidance”
International regulatory update
- Clifford Chance LLP
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- Belgium, European Union, Germany, Global, Hong Kong, Japan, Netherlands, Singapore, South Korea, United Kingdom, USA
- -
- July 4 2011
The FSA has published a document setting out its initial thinking on how the Financial Conduct Authority (FCA), which is expected to be established by end-2012, will approach the delivery of its objectives
International regulatory update 18-29 April 2011
- Clifford Chance LLP
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- Global, Hong Kong, India, Japan, Switzerland, United Arab Emirates, United Kingdom, USA
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- May 3 2011
The Financial Stability Board (FSB) has published a progress report on the implementation of OTC derivatives market reforms
Dexia SA cites Deutsche Bank's internal MBS descriptions in suit over $1 billion in RMBS purchases
- Orrick Herrington & Sutcliffe LLP
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- USA
- -
- July 25 2011
On July 13, 2011, Dexia SA filed a lawsuit in New York State Supreme Court against Deutsche Bank AG and several of its affiliates in connection with its purchase of more than $1 billion in RMBS between 2005 and 2007 from the Deutsche Bank defendants
FinCEN issues final rules relating to MSB definitions
- Schulte Roth & Zabel LLP
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- USA
- -
- October 26 2011
On July 21, 2011, the U.S. Department of the Treasury’s Financial Crimes Enforcement Network issued a final rule, revising the regulations regarding money services businesses
International regulatory update 12-16 September 2011
- Clifford Chance LLP
- -
- European Union, France, Singapore, United Kingdom, USA
- -
- September 19 2011
The Autorité des marchés financiersFinancial Markets Authority (AMF) has published an updated set of frequently asked questions in relation to the ban on creating a net short position or increasing any existing net short position, including intraday, in the equity shares or securities giving access to the capital of certain credit institutions and insurance companies
Financial services legislative and regulatory update - December 19, 2011
- Mintz Levin Cohn Ferris Glovsky and Popeo PC
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- USA
- -
- December 19 2011
In what now accounts for standard operating procedure, the past week saw a flurry of last minute activity, as the threat of having to stay in Washington, DC for the week before Christmas appeared to provide the leverage necessary for Congress to finish up much of its end of the year business
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