Morgan Lewis

Broker-Dealers Publications of Interest

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236 Publications Found
January 2010 2009 Year in Review: SEC and SRO Selected Enforcement Cases and Developments Regarding Broker-Dealers

Morgan Lewis Title | White Paper
Kerry Land, Kurt Rademacher

This outline highlights selected U.S. Securities and Exchange Commission (the “SEC” or the “Commission”), Financial Industry Regulatory Authority (“FINRA”), and NYSE Regulation enforcement ac... more

08/10/09 SEC Announces Actions on Short Sales

LawFlash/Client Alert | Securities Industry FYI
Robert Mendelson

On July 27, the Securities and Exchange Commission (SEC) announced several actions in its continuing examination of short sale regulation. First, the SEC adopted Rule 204 of Regulation SHO under the Securities Exchange Act of 1... more

08/03/09 The Fate of Fixed Indexed Annuities and Rule 151A

LawFlash/Client Alert | Investment Management FYI
Michael Berenson, Christopher Menconi

On July 21, the U.S. Court of Appeals for the District of Columbia Circuit issued its opinion in American Equity Investment Life Insurance Company, et al. [1] v. Securities and Exchange Com... more

July 2009 2009 Mid-Year in Review: SEC and SRO Selected Enforcement Cases and Developments Regarding Broker-Dealers

Morgan Lewis Title | White Paper
Anne Flannery, Ben Indek, Michael Kraut

This outline highlights selected U.S. Securities and Exchange Commission (the “SEC” or the “Commission”), Financial Industry Regulatory Authority (“FINRA”), and NYSE Regulation enforcement ac... more

06/29/09 Financial Regulatory Reform Proposal: Hedge Funds, Private Equity Funds, Venture Capital Firms May Be Required to Register with SEC

LawFlash/Client Alert | Business and Finance LawFlash
Business and Finance Practice

On June 17, the Obama administration released its recommendations to reform the financial regulatory system: Financial Regulatory Reform-A New Foundation: Rebuilding Financial Supervision and Regulation . The recommendations p... more

06/19/09 Broker-Dealer Regulatory Update - As of June 18, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

06/19/09 Ethical Responsibilities of Legal and Compliance Professionals: Recent SEC and FINRA Cases Involving Lawyers and Compliance Professionals, presented at the 31st Annual ALI-ABA Broker-Dealer Regulation Conference, New York

Presentation | Speech
Anne Flannery

06/12/09 Broker-Dealer Regulatory Update - As of June 11, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

06/05/09 Broker-Dealer Regulatory Update - As of June 4, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

05/22/09 Broker-Dealer Regulatory Update - As of May 21, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

05/15/09 SEC Proposes Strengthening of Advisers Act Custody Rule

LawFlash/Client Alert | Investment Management FYI
Monica Parry, P. Georgia Bullitt, Steven Stone

As expected, on May 14 the Securities and Exchange Commission (SEC) proposed changes to the custody rule under the Investment Advisers Act of 1940, Rule 206(4)-2, that will affect the roughly 9,600 investment advisers that the ... more

05/08/09 Broker-Dealer Regulatory Update - As of May 7, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

05/01/09 Broker-Dealer Regulatory Update - As of April 30, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

04/24/09 Broker-Dealer Regulatory Update - As of April 23, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

04/22/09 Eleven Steps for Addressing Treasury Fail Penalties

LawFlash/Client Alert | Investment Management FYI
P. Georgia Bullitt, Robert Mendelson

Money managers trading U.S. Treasury securities need to take quick action to prepare for the May 1, 2009 effectiveness of the industrywide voluntary protocol under which parties will be assessed penalties for settlement fails in ... more

04/17/09 Broker-Dealer Regulatory Update - As of April 16, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

04/02/09 Treasury Extends Money Market Fund Guarantee

LawFlash/Client Alert | Investment Management FYI
John O'Brien, Michael Berenson, W. John McGuire, Sean Graber, Timothy Levin, Christopher Menconi, Thomas Harman

In order to further stabilize the financial markets, the U.S. Treasury Department (the Treasury) recently announced an additional extension to the Temporary Money Market Funds Guarantee Program (the Program). The Program, whic... more

03/27/09 Broker-Dealer Regulatory Update - As of March 26, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

03/06/09 Broker-Dealer Regulatory Update - As of March 5, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

03/05/09 FINRA Proposes Significant Changes to Forms U4 and U5

LawFlash/Client Alert | Investment Management FYI
John O'Brien, Mark Fitterman, Ben Indek, Steven Stone

The Financial Industry Regulatory Authority (FINRA) recently filed with the Securities and Exchange Commission (SEC) a proposed rule change that, if adopted, would make significant changes in the reporting of certain disclosure... more

02/06/09 Broker-Dealer Regulatory Update - As of February 5, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

01/30/09 Broker-Dealer Regulatory Update - As of January 29, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice

01/21/09 2008 Year in Review: SEC and SRO Selected Enforcement Cases and Developments Regarding Broker-Dealers

LawFlash/Client Alert | Securities LawFlash
Litigation Practice

As it has done over the last several years, the Securities Litigation and Enforcement Practice has published an outline highlighting selected U.S. Securities and Exchange Commission (SEC or the Commission), Financial Industry R... more

January 2009 2008 Year in Review: SEC and SRO Selected Enforcement Cases and Developments Regarding Broker-Dealers

Morgan Lewis Title | White Paper
Anne Flannery, Ben Indek, Michael Kraut

This outline highlights selected U.S. Securities and Exchange Commission ("SEC" or the "Commission"), Financial Industry Regulatory Authority ("FINRA"), and NYSE Regulation enforcement actions and developments regarding broker-d... more

01/16/09 Broker-Dealer Regulatory Update - As of January 15, 2009

LawFlash/Client Alert | Broker-Dealer Regulatory Update
Investment Management Practice