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  • John C. Coffee, Jr. – Boeing and the Future of Deferred Prosecution Agreements By John C. Coffee, Jr.
  • Leveraging Information Forcing in Good Faith By Hillary Sale
  • The Dark Side of Safe Harbors Comment bubble 2 By Susan C. Morse
  • John C. Coffee, Jr. – Mass Torts and Corporate Strategies: What Will the Courts Allow? By John C. Coffee, Jr.
  • Compliance’s Next Challenge: Polarization By Miriam H. Baer
  • Will the Common Good Guys Come to the Shootout in SEC v. Jarkesy? And Why It Matters By Eric W. Orts
  • Climate Disclosure Line-Drawing and Securities Regulation By Virginia Harper Ho
  • Board Committee Charters and ESG Accountability By Lisa M. Fairfax
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Columbia Law School's Blog on Corporations and the Capital Markets

Editorial Board John C. Coffee, Jr. Edward F. Greene Kathryn Judge

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Dan Ryan

PwC Discusses SEC’s Increased Scrutiny of Robo-Advisers

By Dan Ryan, Julien Courbe, Adam Gilbert, Mike Alix and Roberto Rodriguez November 8, 2017 by Dan Ryan

Earlier this year, the Securities and Exchange Commission (SEC) issued guidance regarding “robo-advisers,” automated investment advice tools accessed via web-based or mobile platforms with minimal human interaction.1 The guidance is an important reminder to the industry that robo-advisers are …

PwC Discusses the Fed’s New Rating System for Large Financial Institutions

By Dan Ryan, Julien Courbe, Adam Gilbert, Mike Alix and Roberto Rodriguez September 8, 2017 by Dan Ryan

On August 3, the Federal Reserve (Fed) proposed for comment a new supervisory rating system to assess the safety and soundness of Large Financial Institutions (LFIs).1 This is the first change to the Fed’s supervisory rating system since the …

PwC Discusses Fed’s New Board Expectations Guidance

By Dan Ryan, Julien Courbe, Adam Gilbert, Mike Alix and Roberto Rodriguez September 1, 2017 by Dan Ryan

On August 3, the Federal Reserve (Fed) proposed for comment supervisory guidance for boards
of directors of Fed-supervised institutions1 (i.e., Board Effectiveness (BE) guidance). The proposed BE guidance is the result of a multi-year review by the Fed of …

PwC Discusses Bank Resolution Plans’ Public Sections

By Dan Ryan, Julien Courbe, Adam Gilbert, Mike Alix and Roberto Rodriguez August 11, 2017 by Dan Ryan

The recently released public sections of the 2017 resolution plans submitted by the eight US global systemically important banks (G-SIBs)1 provide a unique window into the banks’ resolution planning efforts that have developed over the last five years. Notably, …

PwC Offers 10 Key Points From Trump’s First 100 Days

By Dan Ryan, Mike Alix, Adam Gilbert and Roberto Rodriguez May 5, 2017 by Dan Ryan

In the 100 days since his election, President Trump and members of his cabinet have continued public calls for a rollback of Dodd-Frank and related regulations enacted since the financial crisis, while offering few concrete actions or proposals. Initially, Wall …

PwC on Basel Committee’s Views of its Fundamental Review of the Trading Book

By Dan Ryan, Julien Courbe, Mike Alix, Adam Gilbert and Armen Meyer February 24, 2017 by Dan Ryan

On January 26 the Basel Committee on Banking Supervision (BCBS) released its first set of Frequently Asked Questions (FAQs) on the Fundamental Review of the Trading Book (FRTB). The BCBS published the FRTB in January 2016 with the intent to …

PwC Explores Whether Trump Will Stay the Course on Sanctions

By Dan Ryan, Sean Joyce, Jeff Lavine, Joseph Nocera, Didier Lavion and Armen Meyer February 17, 2017 by Dan Ryan

President Trump made many statements during the campaign regarding actions he plans to take to reverse Obama administration sanctions policies.[1] These included revisiting the agreement to ease sanctions on Iran, rolling back the sanctions program against Russia, and reversing …

PwC Offers 10 Key Points on SEC’s Consolidated Audit Trail Plan

By Dan Ryan, Mike Alix, Adam Gilbert and Armen Meyer December 23, 2016 by Dan Ryan

On November 15, 2016, the Securities and Exchange Commission (SEC) approved a plan to establish a Consolidated Audit Trail (CAT), which will contain a complete record of all equities and options traded in the U.S.[1] The plan will require …

PwC Discusses Election’s Impact on Advisers’ Duty to Retirement Investors

By Dan Ryan, Mike Alix, Adam Gilbert and Armen Meyer December 2, 2016 by Dan Ryan

We believe the recent election will have less impact on the Department of Labor’s (DOL) fiduciary duty rule than some in the media are currently speculating.[1] While some provisions may be modified by a new Administration, we believe the …

PwC Discusses OCC’s Scrutiny of Bank Sales Practices

By Dan Ryan, Mike Alix, Adam Gilbert and Armen Meyer November 11, 2016 by Dan Ryan

U.S. regulators, led by the Office of the Comptroller of the Currency (OCC), are starting to examine sales practices at large and mid-size banks. They will likely first focus on whether banks have opened accounts for customers without consent as …

PwC on Counterparty Credit Limits: Do You Know Where Your Exposures Are?

By Dan Ryan, Mike Alix, Adam Gilbert and Armen Meyer October 21, 2016 by Dan Ryan

Over the summer, the Federal Reserve Board (Fed) concluded the comment period on its reproposed single counterparty credit limits (SCCL) rule issued in March 2016.[1] SCCL is intended to reduce systemic risk by limiting a banking organization’s credit exposure …

PwC Discusses New York’s Proposed Cybersecurity Rules

By Dan Ryan, Sean Joyce, Joseph Nocera, Jeff Lavine and Didier Lavion September 26, 2016 by Dan Ryan

On September 13, 2016, the New York State Department of Financial Services (DFS) proposed a broad set of cybersecurity regulations for banks, insurers, and other financial institutions.[1] The proposal is largely consistent with existing guidance (e.g., under the NIST …

PwC explains New Margin Rule for Broker-Dealers in To-Be-Announced Transactions

By Dan Ryan, Mike Alix, Adam Gilbert, Grace Vogel and Armen Meyer August 29, 2016 by Dan Ryan

On August 15, the Financial Industry Regulatory Authority (FINRA) issued a regulatory notice adopting a requirement that U.S. registered broker-dealers collect margin on To-Be-Announced (TBA) transactions (FINRA Rule 4210).[1] FINRA’s action follows the Securities and Exchange Commission’s approval of …

PwC discusses the SEC’s Reporting and Public Dissemination Rule: Five Key Points

By Dan Ryan, Mike Alix, Adam Gilbert and Armen Meyer August 5, 2016 by Dan Ryan

On July 13, the Securities and Exchange Commission (SEC) adopted a final rule related to the reporting and public dissemination of security-based swap (SBS) transaction information. The rule builds on an earlier reporting rule for security-based swap dealers (SBSDs) finalized …

PwC discusses Preventing the Next $100 Million Bank Robbery

By Dan Ryan, Joseph Nocera, Didier Lavion, Sean Joyce, Jeff Lavine and Armen Meyer July 15, 2016 by Dan Ryan

Attackers last February reportedly stole $81 million from the Bangladesh Central Bank by obtaining and exploiting the bank’s credentials for the Society for Worldwide Interbank Financial Telecommunication (SWIFT) network.[1] The attack – one of the biggest bank robberies in …

PwC explains Brexit: Five Key Points

By Dan Ryan, Adam Gilbert, Mike Alix and Armen Meyer July 8, 2016 by Dan Ryan

The UK voters’ decision to exit the EU came as a surprise to many observers, as well as the markets, with the “Leave” campaign even hinting at defeat as the polls closed. The Wall Street echo chamber view that it …

PwC discusses Protecting Elderly Customers: CFPB and FINRA Step In

By Dan Ryan, Joseph Nocera, Didier Lavion, Sean Joyce, Jeff Lavine and Armen Meyer June 6, 2016 by Dan Ryan

The Consumer Financial Protection Bureau (CFPB) released recommendations in March for how banks and credit unions can better protect elderly customers from financial exploitation. The CFPB issued its recommendations as the elderly population continues to rapidly grow, positioning banks and …

PwC discusses Ten Key Points from the SEC’s Business Conduct Standards for Swap Entities

By Dan Ryan, Mike Alix, Adam Gilbert and Armen Meyer May 12, 2016 by Dan Ryan

One down, three to go: SEC rulemaking is heating up.

Last month, the Securities and Exchange Commission (SEC) finalized business conduct standards for security-based swap dealers (SBSDs).[1] The completion of this rule by the SEC is significant because few …

PwC discusses Five Key Points from Basel’s Proposed Restrictions on Internal Models for Credit Risk

By Dan Ryan, Adam Gilbert, Mike Alix and Armen Meyer April 7, 2016 by Dan Ryan

Last week, the Basel Committee on Banking Supervision (Basel) proposed floors and other constraints on the use of internal models for calculating credit risk capital. The proposal aims to reduce complexity and variation in the calculation of regulatory capital among …

PwC discusses Year-Ahead US Roadmap for Derivatives Regulation

By Dan Ryan, Adam Gilbert, Mike Alix and Armen Meyer February 22, 2016 by Dan Ryan

It has been three years since the first wave of registrants applied to be swap dealers (SDs) with the Commodity Futures Trading Commission (CFTC). Since then, SDs have focused on modifying their operations and building compliance programs that accommodate the …

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Each business day, our team sifts through blog posts, news stories, and other sources to keep up-to-date on relevant recent developments. The following links will take you to our recommended selections. To see the sources we follow click Filter Sources.

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Bloomberg
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German Firms Wary of U.S. Investing
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The Post-Jarkesy, Atkins SEC
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Reuters
Apple Mulls Raising iPhone Prices
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Bloomberg
AMC to Cut Tix Price on Wednesdays
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Tax Plan Would Raise SALT Deduction
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Dealbook
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Toyota Bears Brunt of Trump Tariffs
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New York Times
British Airways Buys 32 Boeing Planes
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SEC, Ripple Ink $50 Mln Settlement
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Firm Loses Lawyers Over Trump Deal
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Texas Courts Mull Informal Fiduciaries
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EV Sales Streak Grinds to a Halt
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Dealbook
OpenAI’s Plan B Poses Risks
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Reuters
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U.S. Orders Intelligence Agencies to Step Up Spying on Greenland
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Freshfields' A Fresh Take
DOJ, FTC Seek Ways to Deregulate
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D&O Diary
Covid Securities Suits Keep Coming
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Delaware Court Refuses to Dismiss Case Based on Letter of Intent Breach
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Reuters
PwC to Slash 1,500 U.S. Jobs
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Bloomberg
Harvard Blocked from New Funding
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A Nevada to Delaware Reincorporation
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Texan Trio Charged in Ponzi Scheme
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No Jail for Unpaid SEC Settlement
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Bloomberg
EU to Offer Trade Proposals Next Week
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European Parliament Delays EU Sustainability Reporting Requirements
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Deal Lawyers.com
Delaware Supreme Court Clarifies Indemnification-Claim Procedures
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Reuters
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New York Times
Dodgy Tether Now Crypto Darling
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Bloomberg
New Chair Atkins Says SEC Has Enough Authority to Regulate Crypto
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Texas, Nevada Lure Delaware Firms
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Reuters
Trump Spares Fed, IMF, World Relieved
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China’s Huawei Creates New AI Chip
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