Securities Law

Adam Rogas, et. al

December 1, 2022

SEC Charges New Defendant and Adds Whistleblower Impeding and Retaliation Claims in $149 Million Offering Fraud Case Read the full report at Read More

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SEC Investor Advisory Committee to Discuss Investor Account Statements, Corporate Tax Transparency, and Single-Stock ETFs on Dec 8

December 1, 2022

The Securities and Exchange Commission’s Investor Advisory Committee will hold a virtual public meeting on December 8 at 10 a.m. ET. The meeting will be webcast on the SEC website. The committee will host three panels to discuss: Account… Full report at: Read More

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Fort Worth Regional Director David L. Peavler to Leave SEC

December 1, 2022

The Securities and Exchange Commission today announced that David L. Peavler, the Director of the Fort Worth Regional Office since 2019, is leaving the agency after more than 19 years of service. Eric R. Werner and Marshall Gandy will serve as the office… Full report at: Read More

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Yinghang “James” Yang and Yuanbiao Chen

November 30, 2022

SEC Obtains Final Judgments Against Index Manager and Friend for Insider Trading Read the full report at Read More

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William Sadleir

November 29, 2022

SEC Obtains Final Judgment Against Former Owner of California Film Distribution Company Charged with Defrauding Publicly Traded Fund Read the full report at Read More

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SEC Awards $20 Million to Whistleblower

November 28, 2022

The Securities and Exchange Commission today announced an award of $20 million to a whistleblower who provided new and critical information that led to the success of an enforcement action. In determining the appropriate award amount, the SEC considered… Full report at: Read More

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SEC Publishes FY22-26 Strategic Plan

November 23, 2022

The Securities and Exchange Commission today released its Strategic Plan for fiscal years 2022 to 2026, outlining agency objectives to fight against fraud, maintain a robust and relevant regulatory framework, and sustain a skilled and diverse workforce… Full report at: Read More

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SEC Charges Goldman Sachs Asset Management for Failing to Follow its Policies and Procedures Involving ESG Investments

November 22, 2022

The Securities and Exchange Commission today charged Goldman Sachs Asset Management, L.P. (GSAM) for policies and procedures failures involving two mutual funds and one separately managed account strategy marketed as Environmental, Social, and Governance… Full report at: Read More

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Ruben James Rojas

November 21, 2022

Former Montebello Unified School District Official Agrees to Pay $50,000 and Admit Wrongdoing in Connection with $100 Million Bond Offering Read the full report at Read More

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SEC Seeks to Stop the Registration of Misleading Crypto Asset Offerings

November 18, 2022

The Securities and Exchange Commission today instituted administrative proceedings against American CryptoFed DAO LLC (American CryptoFed), a Wyoming-based organization, to determine whether a stop order should be issued to suspend the registration of… Full report at: Read More

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