In a meeting of the SEC Asset Management Advisory Committee, SEC Chair Gary Gensler questioned the basis for marketing claims that a fund is "green" or "sustainable."
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In an enforcement compliance bulletin, the CFPB warned it will hold credit rating agencies accountable for compliance failures with respect to "accuracy and dispute obligations" concerning rental information under the Fair Credit Reporting Act and Regulation V.
FINRA clarified interpretations of its margin requirements regarding minimum equity.
The FDIC added information on recent revisions to brokered deposits regulation and interest rate restrictions to the agency's Banker Resource Center webpage.
The Office of the Comptroller of the Currency made several organizational changes to "improve collaboration, alignment, and engagement within the agency."