Dodd-Frank ActSECSEC GuidanceSEC Penalties Act The Acting SEC Chair Has Trimmed Enforcement’s Subpoena Power Laura Anthony, Esq.April 4, 2017 In early February 2017, acting SEC Chair Michael Piwowar revoked the subpoena authority from approximately 20 senior SEC enforcement... 040400
CybersecurityCybersecurity DisclosuresSECSEC Guidance The SEC Has Issued New Guidance On Cybersecurity Disclosures Laura Anthony, Esq.March 27, 2018 April 2, 2018 On February 20, 2018, the SEC issued new interpretative guidance on public company disclosures related to cybersecurity risks and in... 044900
Form DRegulation DRule 156Rule 506SEC GuidanceSecurities AttorneysUncategorized The SEC has Issued Proposed Rules Amending Regulation D, Form D and Rule 156 – Part I Laura Anthony, Esq.August 20, 2013 042400
Form DPrivate PlacementRegulation DRule 156Rule 506SEC GuidanceSecurities Attorneys The SEC has Issued Proposed Rules Amending Regulation D, Form D and Rule 156 – Part II Laura Anthony, Esq.August 27, 2013 056100
SECSEC Advisory CommitteeSEC GuidanceSEC Investor AlertSEC Penalties ActSEC Proxy RulesSEC Regulations on CrowdfundingSEC Rules on crowdfunding The SEC’s 2017 Enforcement Priorities And Results Laura Anthony, Esq.January 9, 2018 No more broken windows! In a series of speeches by various top brass at the SEC followed by the publication of the SEC Enforcement... 046500
OTCBBOTCQB and OTCQXPinksheetsSEC GuidanceSection 3(a)(10) The Securities & Exchange Commission (SEC) Provides Guidance Regarding Section 3(a)(10) of the Securities Act of 1933 Laura Anthony, Esq.October 21, 2009 Section 3(a)(10) of the Securities Act of 1933, as amended (“Securities Act”) is an exemption from the Securities Act registration r... 040100
SEC GuidanceSecurities Attorneys Transparency in the Financial Markets and the Materiality Standards Laura Anthony, Esq.November 27, 2009 The disclosure requirements at the heart of the federal securities laws involve a delicate and complex balancing act. Too little in... 037000
Private Investment in Public Equity (PIPE)Private PlacementSEC Guidance When Can Separate Issuer Offerings That Occur Within a Short Time Be Integrated? Laura Anthony, Esq.December 9, 2009 The integration doctrine prevents issuers from circumventing the registration requirements of the Securities Act of 1934 by determin... 050900
Broker Dealer Registration RequirementsBroker-DealerDodd-Frank ActFINRAJOBS ACTJOBS ACT and CrowdfundingRegulation DRule 144ARule 506SEC GuidanceSecurities Attorneys Will FINRA Rule Changes Related to Private Placement Further Deter Broker Dealers From Placing the Securities of Small Businesses? Laura Anthony, Esq.September 3, 2013 039800