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  • John C. Coffee, Jr.: Event Contracts and Prediction Markets Comment bubble 2 By John C. Coffee, Jr.
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  • 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
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Editor-At-Large Reynolds Holding

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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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corporate compliance

How Boards Can Make the Most of Compliance Consultants

By Veronica Root Martinez March 4, 2026 by renholding

Boards face increasingly demanding requirements for oversight. It is no longer enough to have a compliance program on paper. Regulators, courts, and investors expect boards to ensure that compliance systems function to prevent, detect, and respond to misconduct. That expectation …

Comment  

Compliance and Reputation in the Era of Interconnected Stakeholders

By Sergio Alberto Gramitto Ricci and Christina M. Sautter June 30, 2025 by renholding

The relationship between corporate compliance and reputation has fundamentally changed in our digitally interconnected world. What once were discrete regulatory violations now cascade across multiple stakeholders, with ramifications amplified by social media and enabled by new forms of stakeholder coordination. …

The Case for Financial Crime Bounty Hunters

By Miles Kellerman April 7, 2025 by renholding

Policymakers around the world have typically outsourced the detection of financial crime to the private sector. This approach is often referred to as the “gatekeeper” model, with the basic idea being that private firms, like bodyguards at a nightclub, are …

Discovery as a Compliance Problem

By J. Travis Laster and Elise Bernlohr Maizel February 13, 2025 by renholding

It’s no secret that civil discovery breeds attorney misconduct. The incentives are all wrong. Lawyers have an incentive to advance their clients’ interests. Fighting tooth and nail on behalf of a client helps to justify large fees and repeat business, …

Why the SEC’s Approach to Chief Compliance Officer Liability Has Failed

By David Lourie February 3, 2025 by renholding

With the change in SEC leadership, now is the perfect time for the commission to reevaluate its approach to chief compliance officer (“CCO”) liability.  In a new article, I contend that the SEC’s current approach to CCO liability has …

Cleary Gottlieb Discusses DOJ Guidance for Evaluating Antitrust Compliance Programs

By Rahul Mukhi, Joseph Kay, Andres Felipe Saenz, Lauren Aragon and Heather Nyong’o December 11, 2024 by renholding

On November 14, 2024, the U.S. Department of Justice (“DOJ”) Antitrust Division (the “Division”) released guidance for the Evaluation of Corporate Compliance Programs in Criminal Antitrust Investigations (the “Guidance”). The Guidance will be used by the Division in assessing the …

DOJ Announces Revisions to Corporate Compliance Guidance

By Nicole M. Argentieri September 27, 2024 by renholding

The Criminal Division is on the front lines of the Justice Department’s efforts to hold culpable individuals and companies accountable for corporate crime. We also develop innovative policies both to encourage companies to be good corporate citizens and to enhance …

Governance Implications of the Latest DOJ Corporate Fraud Enforcement Policies

By Michael W. Peregrine and Ashley C. Hoff March 29, 2024 by renholding

Corporate boards will be called upon to renew their oversight of corporate compliance following the recent announcement of several new corporate fraud enforcement initiatives by the U.S. Department of Justice (DOJ). Most notably, these include a new whistleblower program and …

Skadden Discusses Approach of SEC Enforcement Division to Compliance Officer Liability

By Anita B. Bandy, Andrew M. Lawrence, Daniel Michael and Hannah Henderson November 1, 2023 by renholding

In a speech on October 24, 2023, the director of the Securities and Exchange Commission’s (SEC’s) Enforcement Division, Gurbir Grewal, described the scenarios in which the commission would bring an enforcement action against a compliance officer.

In remarks to the …

Compliance’s Next Challenge: Polarization

By Miriam H. Baer September 7, 2023 by renholding

Last year marked the 20th anniversary of Congress’ enactment of the Sarbanes-Oxley Act, legislation that arose in response to Enron’s demise and the accounting scandals that followed, and which coincided with the successful and much-heralded prosecution of a …

A Top DOJ Official Speaks on Corporate Enforcement and Compliance

By Lisa H. Miller February 24, 2023 by renholding
Thank you, Brian, for the kind introduction. It’s great to be here with all of you. Today, I will share a snapshot of our 2022 enforcement results as well as our policy approach to white-collar and corporate crime.

I have

…

Personhood, Procedure, and the Endurance of Corporate Compliance

By Miriam H. Baer September 28, 2021 by renholding

Despite its significant role in preventing and deterring wrongdoing, corporate compliance’s long-term prospects remain an open question. How strongly does a company’s inclination to redress wrongdoing rest on a credible threat of outside enforcement?

This is one of the questions …

How Can We Tell Whether Compliance Programs Work?

By Melissa Rorie and Benjamin van Rooij September 3, 2021 by renholding

In the United States, major financial scandals in the 1970s, 1980s, and 1990s resulted in federal pressure on corporations to inculcate ethical behavior in their employees. The Foreign Corrupt Practices Act, Federal Sentencing Guidelines, Sarbanes-Oxley Act, the U.S. Organization Sentencing …

1 Comment  

Revisiting Compliance Program Reporting Relationships

By Michael W. Peregrine July 5, 2019 by renholding

Corporate leaders may wish to revisit the important yet sensitive topic of reporting relationships in compliance programs following the release of new guidance from the Department of Justice’s Criminal Division.

That guidance, entitled Evaluation of Corporate Compliance Programs[1], …

Cleary Gottlieb Discusses DOJ Updates of Guidance on Corporate Compliance Programs

By Jennifer Kennedy Park, Joon H. Kim, Jonathan Kolodner and Lisa Vicens May 9, 2019 by renholding

On April 30, 2019, the Criminal Division of the U.S. Department of Justice (“DOJ” or “the Department”) announced updated guidance for the Criminal Division’s Evaluation of Corporate Compliance Programs (“the Guidance”) in charging and resolving criminal cases.[1] Assistant Attorney …

Paul Weiss Discusses New DOJ Guidance For Evaluating Corporate Compliance Programs

By Mark Mendelsohn, Alex Oh, Dave Brown, Peter Jaffe and Matt Driscoll March 30, 2017 by Jeff Himelson

The United States Department of Justice’s Fraud Section recently released a guidance document entitled Evaluation of Corporate Compliance Programs (“Evaluation Guidance”),[1] which sets forth a list of common questions that the Fraud Section may ask in evaluating corporate compliance …

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Private Credit Bad, But Not 2008 Bad
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Kalshi Faces Arizona Criminal Charges
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Quarterly Reports on Their Last Legs
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The SPV-pocalypse Is Coming
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Suit Tests Government’s Intel Stake
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Smartmatic Says FCPA Case Vindictive
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Lawyer Sentenced for Ponzi Scheme
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Senate’s New Housing Bill Would Force Large Investors to Sell Homes
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Bill to Extend FCPA Limitations Statute
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IPO to Put Pershing Square in Nevada
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Anthropic Sues Defense Department
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New York Times
DOJ, Live Nation Settle Antitrust Case
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D&O Liability in Geopolitical Whiplash
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Delaware Chancery Enforces Restrictive Covenant in Business Sale
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Reuters
OpenAI Honcho Exits After DOD Deal
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FTC Chief Mixes MAGA, Enforcement
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Axel Springer to Buy UK’s Telegraph
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States Sue to Stop New Trump Tariffs
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SEC Ends Crypto-Billionaire Sun Case
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Trump’s Crypto Legacy: Paul Atkins
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DOJ Reverses on Law Firm Sanctions
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Treasury to Mull Bank Liquidity Rules
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SEC, Apex Spar Over Off-Channel Communications Sweep Settlement
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U.S. Gasoline Crosses $3 Gallon Mark
March 2, 2026
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Trump Fails Tariff-Refund Push Delay
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Delaware Court Rules That Merger Provision Is an Arbitration Clause
March 2, 2026
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Can AI Tool Replace Proxy Advisers?
March 2, 2026
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Delaware Supreme Court OKs SB21
March 2, 2026
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Mortgage Rates Drop Below 6 Percent
March 1, 2026
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Berkshire Hathaway Posts Earnings Drop in Warren Buffett’s Last Year
March 1, 2026
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SEC Announces New Insider Trading Rules for Foreign Companies
March 1, 2026
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Delaware Supreme Court Says Accountant Can Resolve Earnout Claims
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