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            • April 02, 2021

              District Court Authorizes IRS "John Doe" Summons to Identify U.S. Persons Using Cryptocurrencies

              A federal court in the District of Massachusetts authorized the IRS to serve a "John Doe" summons on a Boston-based "digital currency exchanger" seeking information about as yet unidentified U.S. taxpayers who, from 2016 to 2020, conducted at least $20,000 in cryptocurrency transactions.
              jodi.avergun@cwt.com's picture
              Commentary by Jodi Avergun
            • January 11, 2021

              Bank Settles DOJ and SEC Charges for FCPA Violations

              A bank settled DOJ and SEC charges for Foreign Corrupt Practices Act violations in connection with its use of third-party intermediaries, business development consultants and finders.
            • October 22, 2020

              Investment Firm Fined $2.9 Billion for Oversight Failures

              An investment firm was fined $2.9 billion by several authorities for its failure to (i) properly oversee its operations, (i) maintain internal controls and (iii) conduct proper risk management, with regard to its employees' involvement in improper payments to foreign officials.
            • July 02, 2020

              Biopharmaceutical Company Settles SEC Charges for FCPA Violations

              A biopharmaceutical company settled SEC charges for Foreign Corrupt Practices Act bribery and books and records violations.
              jodi.avergun@cwt.com's picture
              Commentary by Jodi Avergun
            • December 16, 2019

              Former Senior Executive Settles SEC Charges for Perpetrating "Massive" Corruption Scheme

              A former executive of a brokerage firm settled SEC charges for illicitly securing business deals with a Malaysian state-owned and controlled investment fund.
            • August 14, 2019

              SEC OIEA Warns Investors of Risks Associated with Indexed Annuities

              The SEC Office of Investor Education and Advocacy highlighted the risks associated with indexed annuities.
            • April 26, 2018

              ISDA Provides Guidance on U.S./EU Cross-Border Trading

              In a newly published guide, ISDA addressed questions concerning cross-border trading in light of the deference agreement reached between the CFTC and the European Commission in October 2017.
            • March 19, 2018

              SEC Requests Comments on Transaction Fee Pilot for NMS Stocks

              The SEC is seeking comments on a proposed new rule that would establish a pilot program to monitor transaction fees and rebates in National Market System stocks.
              Steven.Lofchie@friedfrank.com's picture
              Commentary by Steven Lofchie

            Request delivery of Fried Frank Regulatory Intelligence

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