Skip to main content
Topics
Broker-Dealers
Broker-Dealers
Overview
FINRA Materials
FINRA: Rule by Rule
Government Securities Dealers
Government Securities: Rule by Rule
Muni Advisors
Muni Securities and Dealers
MSRB Materials
MSRB Rules: Rule by Rule
100+ More Broker-Dealer Topics
Commodity Exchange Act
Commodity Exchange Act
Overview
CFTC Supervision and CCO
Position Limits
Swap Materials
FCMs
FCM / IB Registration Requirement
BD and FCM Risk Assessment Rules
BD and FCM Subordination Agreements
BD and CEA Withdrawals of Capital
FCM Capital
FCMs and Swap Dealer Custody
More CEA Topics
Swaps and Swap Dealers
Margin for Uncleared Swaps
FCMs and Swap Dealer Custody
Swap Dealer and SBSD Capital
CPOs and CTAs
Disclosures
Recordkeeping
Registration Process
Reporting on Form PQR, and Form PR
Banking
Banking
Banking Materials
CFPB Materials
CFPB Rule by Rule
FDIC Materials
Federal Reserve System Materials
NCUA Materials
OCC Materials
More Banking Topics
FRA 23A and 23B and Reg W
Community Reinvestment Act
Volcker
Truth in Savings
Capital Requirements
Enforcement Procedures
Money Service Businesses
Products and Contracts
Products and Contracts
ESG / Climate Risk
Cannabis Finance
Commodity Options
Crypto and Initial Coin Offerings
Foreign Currency
Government Securities and Dealers
LIBOR and Indices
Municipal Securities and Dealers
Securities Lending
Securities Options
Security Futures Products
TBAs and the MSFTA
More Products and Contracts
Asset-Backed Securities
Overview
ABS Qualifying Residential Mortgage and Other Exempt Loans
BD Communications about CMOs
Credit Rating Agencies and Credit Ratings
Credit Risk Retention
Due Diligence Reports
ICA Section 3(c)(4), (5) and (6) Funds, Including REITs
LIBOR and Indices
Marketplace Lending
Regulation AB
TBAs and the MSFTA
Credit and Insolvency
Credit and Insolvency
Overview
BD Insolvency
FCM Insolvency
Insolvency of Banks
Protected Financial Contracts
Security Interests and UCC
Enforcement and Bad Acts
Enforcement and Bad Acts
Anti-Money Laundering
Cybersecurity and Data Protection
Disqualifications and Waivers
Foreign Corrupt Practices Act
Insider Trading
SEC and FINRA
Sanctions
Whistleblowers
Investors
Investors
Comm. on Foreign Investment in US ("CFIUS")
Hart-Scott-Rodino
SEA 13(f) Position Reporting
Issuers and Offerings
Issuers and Offerings
Conflict Minerals
FINRA Private Placement Rules
Issuer Repurchases Rule 10b-18
New Issue Allocations
Regulation FD (Fair Disclosure)
Regulation M: Trading in Connection with a Distribution
Securities Offerings
More Issuer and Offering Topics
SA Rule 144 and Rule 145
SA Rule 144A
SA Rule 701: Compensatory Securities Offerings
Securities Act Section 3 Exemptions from Securities
SA S 3(a)(2): Govs, Munis, Banks
SA S 3(a)(9): Exchange Offers
Securities Act Section 4 Transaction Exemptions
Documents
Securities
Securities
Statutes
Investment Advisers Act
Investment Company Act
Securities Act
Securities Exchange Act
Securities Investor Protection Act
Trust Indenture Act
Rules
Investment Advisers Act
Investment Company Act
Securities Act
Securities Exchange Act
SIPC Rules
Trust Indenture Act Rules
SEC Administrative Materials
SEC Federal Registers
SEC Enforcement Releases
SEC No-Action Letters
SEC Forms
Securities SROs
FINRA Rules
MSRB Rules
FINRA / MSRB Notices
SRO Federal Registers
More Securities Laws, Rules and Other Documents
Commodity Exchange Act
Commodity Exchange Act
CEA and Related Rules
CEA
CFTC Rules
NFA Rules
CEA Judicial Decisions
Supreme Court and Circuit Court Cases
More CEA-Related Documents
CFTC Documents
CFTC Fact Sheets
CEA FAQs
CEA Federal Registers
CFTC Guidance on Cross-Border Futures Transactions
CFTC Guidance on Cross-Border Swaps
CFTC Orders
CFTC No-Action Letters
CEA Speeches, Statements and Testimony
CEA Studies and Reports
NFA Documents
NFA Notices
NFA Regulatory Guidance
Federal Banking
Federal Banking
Statutes
Antitying Act
Bank Holding Company Act of 1956
Community Reinvestment Act
Consumer Credit Protection Statutes
Truth in Lending Act
Consumer Leasing Act
Fair Credit Reporting Act
Equal Credit Opportunity Act
Fair Debt Collection Practices Act
Electronic Fund Transfers Act
Federal Deposit Insurance Act
Federal Reserve Act
International Banking Act
National Banking Act
Real Estate Settlement Procedures Act
More Banking Laws, Rules and Other Documents
Rules
CFPB Rules
Comptroller Rules
FDIC Rules
FRB Rules
Government Securities Act Rules
Bank Regulators
CFPB Materials
Comptroller Materials
FDIC Materials
FHFA Materials
FRS/FRB Materials
NCUA Materials
ERISA
ERISA
Statutes
Employee Retirement Income Security Act
Internal Revenue Code Provisions Related to ERISA
Rules
ERISA Rules
Internal Revenue Regulations Related to ERISA
Other Documents
DOL Federal Registers
DOL FAQs
DOL Glossaries
Pension Benefit Guaranty Corporation Federal Registers
Credit
Credit
Bankruptcy Laws
Bankruptcy Code
Federal Deposit Insurance Corporation Improvement Act
SIPA
Securities Investor Protection Act
Securities Investor Protection Corporation Rules
SIPC Letters and Interpretations
SIPC Annual Reports
State Law
New York Statute
Other Documents
Bankruptcy Basics
Hague Convention
Court Decisions
NYDFS Letters on Bank Insolvency
AML, FCPA and Sanctions
AML, FCPA and Sanctions
AML
Bank Secrecy Act
Bank Secrecy Act Rules
NY Penal Law, Article 470
FinCEN Advisories
FinCEN FAQs
FinCEN Federal Registers
More AML Laws, Rules and Other Documents
FCPA
15 USC 78dd-1
15 USC 78m
More FCPA Laws, Rules and Other Documents
Sanctions
Statutes Relevant to Sanctions
Sanctions Rule
OFAC Federal Registers
Executive Orders
More Sanctions Laws, Rules and Other Documents
Antitrust and CFIUS
Antitrust and CFIUS
Hart-Scott-Rodino
Act
HSR Rules
HSR Guidance
HSR - Introductory Guide I
HSR - Introductory Guide II
HSR: Back to Basics Workshop Transcript
The Most Frequently Asked HSR Questions
CFIUS
Defense Production Act
Rules
Federal Registers
Executive Orders
Statutes, Rules and Public Laws
Statutes, Rules and Public Laws
All Statutes
All Rules
All Public Laws
Analytic Materials
Analytic Materials
Cabinet Materials
Broker-Dealer Guide
CEA Guide
Hedge Fund Guide
Pamphlets
Anti-Money Laundering Regulation for Financial Institutions
Blue Sky Law Registration Requirements
Guide to Federal Income Tax of Hedge Fund
Section 23A for Broker-Dealers
Quick Guide to U.S. Economic Sanctions
More Legal Writings
Governmental Materials
SEC Compliance Guides
SEC Guide to Broker-Dealer Registration
SEC Guide to ICA Registration
SEC Guidance for Newly-Registered Investment Advisers
FRB Compliance Guides
FRB Supervision and Regulation Letters
Comptroller Handbooks
Comptroller Interpretive Letters
FDIC Financial Institution Letters
Individuals and Organizations
Individuals and Organizations
Speeches, Statements & Testimony
Elizabeth A. Warren
Steven T. Mnuchin
J. Christopher Giancarlo
Jerome H. Powell
Randal Quarles
Walter Jay Clayton
Hester Peirce
Kara M. Stein
Lael Brainard
Robert Jackson
All Individuals
Reports
Alternative Reference Rates Committee
Congressional Research Service
Financial Stability Oversight Council
Futures Industry Association
Government Accountability Office
Investment Company Institute
Managed Funds Association
North American Securities Administrators Association
Office of Financial Research
Securities Industry and Financial Markets Association
Regulatory Change
News
Regulatory Events
Change Management Tracker
Alerts
Sign in
Advanced Search
Use Citation
Search
Fried Frank Daily Focus
News & Headlines
Receive our daily newsletter
Email
*
Submit
0
results
Search Narrowed by Text
Search Terms
Search Narrowed by Categories
Remove Cadwalader filter
Cadwalader
date:
body of law:
issuing jurisdiction:
affected jurisdiction:
author organization:
SEC
Apply SEC filter
2253
CFTC
Apply CFTC filter
1250
FINRA
Apply FINRA filter
1211
US Congress
Apply US Congress filter
735
Fed. Res. Board / Banks
Apply Fed. Res. Board / Banks filter
660
Trade / Industry Associations
Apply Trade / Industry Associations filter
520
FDIC
Apply FDIC filter
447
Comptroller
Apply Comptroller filter
426
OFAC
Apply OFAC filter
330
MSRB
Apply MSRB filter
281
CFPB
Apply CFPB filter
274
NFA
Apply NFA filter
257
NASAA
Apply NASAA filter
199
US Government Research Entities
Apply US Government Research Entities filter
195
Regulators' Associations
Apply Regulators' Associations filter
170
SEC / CFTC Exchanges and Clearing Corps.
Apply SEC / CFTC Exchanges and Clearing Corps. filter
169
DOJ
Apply DOJ filter
161
Treasury
Apply Treasury filter
154
FinCEN
Apply FinCEN filter
149
Fried Frank
Apply Fried Frank filter
137
President / White House
Apply President / White House filter
131
US Federal Courts
Apply US Federal Courts filter
110
FTC
Apply FTC filter
77
Securities Exchanges
Apply Securities Exchanges filter
76
NYDFS
Apply NYDFS filter
73
CFTC Contract Markets
Apply CFTC Contract Markets filter
67
OFR
Apply OFR filter
67
CME
Apply CME filter
65
New York
Apply New York filter
65
NCUA
Apply NCUA filter
58
Non-U.S. Regulators
Apply Non-U.S. Regulators filter
48
CRS
Apply CRS filter
47
DOL
Apply DOL filter
41
GAO
Apply GAO filter
38
News Orgs / Blogs
Apply News Orgs / Blogs filter
37
FSOC
Apply FSOC filter
36
FHFA
Apply FHFA filter
31
NYSE Arca
Apply NYSE Arca filter
31
IRS
Apply IRS filter
28
FFIEC
Apply FFIEC filter
27
NYSE
Apply NYSE filter
21
NASDAQ Stock Market
Apply NASDAQ Stock Market filter
19
NYSE American
Apply NYSE American filter
19
SEC Clearing Agencies
Apply SEC Clearing Agencies filter
17
Academics
Apply Academics filter
13
DTCC
Apply DTCC filter
13
PCAOB
Apply PCAOB filter
13
Private Companies
Apply Private Companies filter
13
States
Apply States filter
13
Cboe BZX Exchange
Apply Cboe BZX Exchange filter
12
Int. Organizations
Apply Int. Organizations filter
11
Think Tanks
Apply Think Tanks filter
11
Cboe BYX Exchange
Apply Cboe BYX Exchange filter
9
NASDAQ PHLX
Apply NASDAQ PHLX filter
8
Cboe EDGA Exchange
Apply Cboe EDGA Exchange filter
7
Cboe EDGX Exchange
Apply Cboe EDGX Exchange filter
7
Farm Credit Administration
Apply Farm Credit Administration filter
7
Cboe
Apply Cboe filter
6
CFIUS
Apply CFIUS filter
6
Financial Accounting Standards Board
Apply Financial Accounting Standards Board filter
6
NASDAQ BX
Apply NASDAQ BX filter
6
NASDAQ ISE
Apply NASDAQ ISE filter
6
NYSE National
Apply NYSE National filter
5
Cboe C2 Options Exchange
Apply Cboe C2 Options Exchange filter
4
Nasdaq GEMX
Apply Nasdaq GEMX filter
4
NYSE Chicago
Apply NYSE Chicago filter
4
Patent and Trademark Office
Apply Patent and Trademark Office filter
4
Pres. Working Group
Apply Pres. Working Group filter
4
Accounting Bodies
Apply Accounting Bodies filter
3
BOX Options Exchange LLC
Apply BOX Options Exchange LLC filter
3
California
Apply California filter
3
FICC
Apply FICC filter
3
Miami International Securities Exchange LLC
Apply Miami International Securities Exchange LLC filter
3
Nasdaq MRX
Apply Nasdaq MRX filter
3
NSCC
Apply NSCC filter
3
Options Clearing Corp.
Apply Options Clearing Corp. filter
3
Investors Exchange LLC
Apply Investors Exchange LLC filter
2
Law Firm
Apply Law Firm filter
2
Long-Term Stock Exchange
Apply Long-Term Stock Exchange filter
2
MEMX
Apply MEMX filter
2
MIAX Emerald
Apply MIAX Emerald filter
2
MIAX Pearl
Apply MIAX Pearl filter
2
NYMEX
Apply NYMEX filter
2
SIPC
Apply SIPC filter
2
CBOE Futures Exchange
Apply CBOE Futures Exchange filter
1
COMEX
Apply COMEX filter
1
Community Development Financial Institutions Fund
Apply Community Development Financial Institutions Fund filter
1
HUD
Apply HUD filter
1
ICE Clear Europe
Apply ICE Clear Europe filter
1
NIST
Apply NIST filter
1
Small Business Administration
Apply Small Business Administration filter
1
State Courts
Apply State Courts filter
1
sub-author:
news type:
regulated activities:
regulated entities:
regulated products:
Your search yielded no results
Check if your spelling is correct.
Remove quotes around phrases to search for each word individually.
bike shed
will often show more results than
"bike shed"
.
Consider loosening your query with
OR
.
bike OR shed
will often show more results than
bike shed
.
Main menu
Topics
About News
Broker-Dealers
Overview
FINRA Materials
FINRA: Rule by Rule
Government Securities Dealers
Government Securities: Rule by Rule
Muni Advisors
Muni Securities and Dealers
MSRB Materials
MSRB Rules: Rule by Rule
100+ More Broker-Dealer Topics
Separator for Broker-Dealer
Glossaries
About Berkeley
Commodity Exchange Act
Overview
CFTC Supervision and CCO
Position Limits
Swap Materials
FCMs
FCM / IB Registration Requirement
BD and FCM Risk Assessment Rules
BD and FCM Subordination Agreements
BD and CEA Withdrawals of Capital
FCM Capital
FCMs and Swap Dealer Custody
More CEA Topics
Separator for Commodity
Swaps and Swap Dealers
Margin for Uncleared Swaps
FCMs and Swap Dealer Custody
Swap Dealer and SBSD Capital
CPOs and CTAs
Disclosures
Recordkeeping
Registration Process
Reporting on Form PQR, and Form PR
Expert Systems
Contributors
Banking
Banking Materials
CFPB Materials
CFPB Rule by Rule
FDIC Materials
Federal Reserve System Materials
NCUA Materials
OCC Materials
More Banking Topics
Separator for Banking
FRA 23A and 23B and Reg W
Community Reinvestment Act
Volcker
Truth in Savings
Capital Requirements
Enforcement Procedures
Money Service Businesses
Help
Products and Contracts
ESG / Climate Risk
Cannabis Finance
Commodity Options
Crypto and Initial Coin Offerings
Foreign Currency
Government Securities and Dealers
LIBOR and Indices
Municipal Securities and Dealers
Securities Lending
Securities Options
Security Futures Products
TBAs and the MSFTA
More Products and Contracts
Separator for Products and Contracts
Asset-Backed Securities
Overview
ABS Qualifying Residential Mortgage and Other Exempt Loans
BD Communications about CMOs
Credit Rating Agencies and Credit Ratings
Credit Risk Retention
Due Diligence Reports
ICA Section 3(c)(4), (5) and (6) Funds, Including REITs
LIBOR and Indices
Marketplace Lending
Regulation AB
TBAs and the MSFTA
Purpose
Credit and Insolvency
Overview
BD Insolvency
FCM Insolvency
Insolvency of Banks
Protected Financial Contracts
Security Interests and UCC
Enforcement and Bad Acts
Anti-Money Laundering
Cybersecurity and Data Protection
Disqualifications and Waivers
Foreign Corrupt Practices Act
Insider Trading
SEC and FINRA
Sanctions
Whistleblowers
Investors
Comm. on Foreign Investment in US ("CFIUS")
Hart-Scott-Rodino
SEA 13(f) Position Reporting
Issuers and Offerings
Conflict Minerals
FINRA Private Placement Rules
Issuer Repurchases Rule 10b-18
New Issue Allocations
Regulation FD (Fair Disclosure)
Regulation M: Trading in Connection with a Distribution
Securities Offerings
More Issuer and Offering Topics
Separator for Issuers
SA Rule 144 and Rule 145
SA Rule 144A
SA Rule 701: Compensatory Securities Offerings
Securities Act Section 3 Exemptions from Securities
SA S 3(a)(2): Govs, Munis, Banks
SA S 3(a)(9): Exchange Offers
Securities Act Section 4 Transaction Exemptions
COVID-19 Patent Litigation Tracker
Documents
Securities
Statutes
Investment Advisers Act
Investment Company Act
Securities Act
Securities Exchange Act
Securities Investor Protection Act
Trust Indenture Act
Rules
Investment Advisers Act
Investment Company Act
Securities Act
Securities Exchange Act
SIPC Rules
Trust Indenture Act Rules
separator for securities
SEC Administrative Materials
SEC Federal Registers
SEC Enforcement Releases
SEC No-Action Letters
SEC Forms
Securities SROs
FINRA Rules
MSRB Rules
FINRA / MSRB Notices
SRO Federal Registers
More Securities Laws, Rules and Other Documents
Commodity Exchange Act
CEA and Related Rules
CEA
CFTC Rules
NFA Rules
CEA Judicial Decisions
Supreme Court and Circuit Court Cases
More CEA-Related Documents
Separator for Commodities
CFTC Documents
CFTC Fact Sheets
CEA FAQs
CEA Federal Registers
CFTC Guidance on Cross-Border Futures Transactions
CFTC Guidance on Cross-Border Swaps
CFTC Orders
CFTC No-Action Letters
CEA Speeches, Statements and Testimony
CEA Studies and Reports
NFA Documents
NFA Notices
NFA Regulatory Guidance
Federal Banking
Statutes
Antitying Act
Bank Holding Company Act of 1956
Community Reinvestment Act
Consumer Credit Protection Statutes
Truth in Lending Act
Consumer Leasing Act
Fair Credit Reporting Act
Equal Credit Opportunity Act
Fair Debt Collection Practices Act
Electronic Fund Transfers Act
Federal Deposit Insurance Act
Federal Reserve Act
International Banking Act
National Banking Act
Real Estate Settlement Procedures Act
More Banking Laws, Rules and Other Documents
separator for banking
Rules
CFPB Rules
Comptroller Rules
FDIC Rules
FRB Rules
Government Securities Act Rules
Bank Regulators
CFPB Materials
Comptroller Materials
FDIC Materials
FHFA Materials
FRS/FRB Materials
NCUA Materials
ERISA
Statutes
Employee Retirement Income Security Act
Internal Revenue Code Provisions Related to ERISA
Rules
ERISA Rules
Internal Revenue Regulations Related to ERISA
Separator for ERISA
Other Documents
DOL Federal Registers
DOL FAQs
DOL Glossaries
Pension Benefit Guaranty Corporation Federal Registers
Credit
Bankruptcy Laws
Bankruptcy Code
Federal Deposit Insurance Corporation Improvement Act
SIPA
Securities Investor Protection Act
Securities Investor Protection Corporation Rules
SIPC Letters and Interpretations
SIPC Annual Reports
separator for credit
State Law
New York Statute
Other Documents
Bankruptcy Basics
Hague Convention
Court Decisions
NYDFS Letters on Bank Insolvency
AML, FCPA and Sanctions
AML
Bank Secrecy Act
Bank Secrecy Act Rules
NY Penal Law, Article 470
FinCEN Advisories
FinCEN FAQs
FinCEN Federal Registers
More AML Laws, Rules and Other Documents
separator for AML
FCPA
15 USC 78dd-1
15 USC 78m
More FCPA Laws, Rules and Other Documents
Sanctions
Statutes Relevant to Sanctions
Sanctions Rule
OFAC Federal Registers
Executive Orders
More Sanctions Laws, Rules and Other Documents
Antitrust and CFIUS
Hart-Scott-Rodino
Act
HSR Rules
HSR Guidance
HSR - Introductory Guide I
HSR - Introductory Guide II
HSR: Back to Basics Workshop Transcript
A “Sound Basis” Exists for Revising the HSR Act’s Investment-Only Exemption
The Most Frequently Asked HSR Questions
separator for antitrust
CFIUS
Defense Production Act
Rules
Federal Registers
Executive Orders
Statutes, Rules and Public Laws
All Statutes
All Rules
All Public Laws
separator for statutes
Analytic Materials
Cabinet Materials
Broker-Dealer Guide
Introduction
What is a Security?
Registration Requirement
How to Register
Employees and APs
Customers
Communications
Research
Trading
Capital Requirements
Custody
ERISA
Insolvency of Broker-Dealers
Internal Investigations
Margin and Credit
Non-U.S. Broker-Dealers
Records, Reports and Inspections
Supervision
Insider Trading
CEA Guide
Introduction to the CEA
What Is a Swap and Other Jurisdictional Questions
What Is a Pool; CPO/CTA Registration Requirement
Application for CPO/CTA Registration
Trading
Margin
Supervision
Non-U.S. Pools
Non-U.S. FCMs and Futures
Insolvency
Appendices
Hedge Fund Guide
Introduction
Documentation
Adviser Registration Requirement
Adviser Registration Process
Issuer Exemptions Under the ICA and Exchange Act
Securities Act and State Registration Exemptions
Broker-Dealer and other Sales Issues
Communications
Trading
Ownership and Custody
Margin and Credit
Records, Reports, and Inspections
Supervision and Code of Ethics
ERISA
Relationships with Banks
Pamphlets
Anti-Money Laundering Regulation for Financial Institutions
Blue Sky Law Registration Requirements
Guide to Federal Income Tax of Hedge Fund
Section 23A for Broker-Dealers
Quick Guide to U.S. Economic Sanctions
More Legal Writings
separator for legal writing
Governmental Materials
SEC Compliance Guides
SEC Guide to Broker-Dealer Registration
SEC Guide to ICA Registration
SEC Guidance for Newly-Registered Investment Advisers
FRB Compliance Guides
FRB Supervision and Regulation Letters
Comptroller Handbooks
Comptroller Interpretive Letters
FDIC Financial Institution Letters
Individuals and Organizations
Speeches, Statements & Testimony
White House / President
Elizabeth A. Warren
Executive Orders
Memoranda
Steven T. Mnuchin
News
J. Christopher Giancarlo
Regulatory Guidance
Jerome H. Powell
Statutes
Glossary
Randal Quarles
News
Walter Jay Clayton
Hester Peirce
Speeches, Statements & Testimony
Studies and Reports
Kara M. Stein
Lael Brainard
Robert Jackson
All Individuals
Separator for government
Reports
Alternative Reference Rates Committee
Congressional Research Service
Financial Stability Oversight Council
Futures Industry Association
Government Accountability Office
Investment Company Institute
Managed Funds Association
North American Securities Administrators Association
Office of Financial Research
Securities Industry and Financial Markets Association
Regulatory Change
News
Regulatory Events
Change Management Tracker
Alerts
Sign in
Account