David Brennand

David Brennand

Katten Muchin Rosenman LLP

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Corporate and Financial Weekly Digest - Volume XII, Issue 11

SEC Adopts Amendment to Shorten Settlement Cycle for Securities Transactions - On March 22, the Securities and Exchange Commission adopted an amendment to Rule 15c6-1(a) that shortens the standard settlement cycle for...more

3/27/2017 - AML/CFT Broker-Dealer Financial Conduct Authority (FCA) FSMA PEP SEC UK Brexit

Corporate and Financial Weekly Digest - Volume XII, Issue 10

CFTC Extends Public Comment Period for Swap Dealers and Major Swap Participants Minimum Capital Requirement Proposal - On March 16, the Commodity Futures Trading Commission published in the Federal Register its decision...more

3/20/2017 - Article 50 Treaty of the EU Comment Period EU EU Central Securities Depository Directive Major Swap Participants Notification of Withdrawal UK UK Brexit

Corporate and Financial Weekly Digest - Volume XII, Issue 9

ISS Updates Frequently Asked Questions for US Proxy Voting Policies and Procedures for 2017 - Proxy advisory firm Institutional Shareholder Services (ISS) recently updated its frequently asked questions (FAQs) for US...more

3/13/2017 - Accredited Investors Corporate Governance Hyperlink ISS Proxy Season Registered Investment Advisors Regulation S-K Shareholder Proposals UK Brexit

Corporate and Financial Weekly Digest - Volume XII, Issue 8

EU and Prudential Regulators Issue Statements on March 1 Compliance With Swap Margin Rules - Lacking the ability to issue formal no-action relief from strict compliance with the variation margin rules for uncleared swaps...more

2/27/2017 - EMIR EU FSMA Margin Requirements Private Funds Swaps UK

Corporate and Financial Weekly Digest - Volume XII, Issue 6

SEC/CORPORATE - Acting SEC Chair Directs Staff to Reconsider Pay Ratio Disclosure Rule - On February 6, the acting Securities and Exchange Commission Chairman, Michael Piwowar, issued a statement soliciting public...more

2/13/2017 - Conflict Mineral Rules Country-by-Country EEA EU Guide Open-Ended Fund Companies (OFCs) Pay Ratio Position Limits Trump Administration UK

Corporate and Financial Weekly Digest - Volume XII, Issue 5

SEC/Corporate - SEC Releases Rule 504 Small Entity Compliance Guide for Issuers - The Securities and Exchange Commission recently released a Small Entity Compliance Guide for Issuers, which provides a brief summary...more

2/6/2017 - AIFM AIFMD Conflict Mineral Rules EDGAR EEA Electronic Blue Sheets Electronic Filing EMIR EU Form SHC MiFID II No-Action Relief Rule 504 UK UK Brexit

Corporate and Financial Weekly Digest - Volume XII, Issue 4

SEC Updates to Form PF FAQs - On January 18, the Securities and Exchange Commission’s Division of Investment Management updated its Form PF FAQs. Registered investment advisers managing private funds with at least $150...more

1/30/2017 - Article 50 Treaty of the EU Asset Management EU Form PF Hart-Scott-Rodino Act IOSCO MSRB Regulation AT Residual Interest Threshold Requirements UK UK Brexit

Corporate and Financial Weekly Digest - Volume XII, Issue 3

FINRA Issues Report on Implications of Blockchain - Broker-Dealer - On January 18, the Financial Industry Regulatory Authority, responding to increased industry interest in distributed ledger technology (DLT) known...more

1/23/2017 - Blockchain Margin Requirements MiFID II Proposed Amendments Reporting Requirements UK Brexit

Corporate and Financial Weekly Digest - Volume XII, Issue 2

2017 Examination Priorities Announced by the SEC - On January 12, the Securities and Exchange Commission’s Office of Compliance Inspections and Examinations (OCIE) released its 2017 examination priorities, which seek to...more

1/17/2017 - CPOs CTA EEA Foreign Boards of Trade (FBOT) Forex MiFID II SEC Examination Priorities UK Brexit

Corporate and Financial Weekly Digest - Volume XI, Issue 48

SEC/CORPORATE - SEC Division of Corporation Finance Issues 35 New C&DIs Regarding Foreign Private Issuers, QIBs and Offshore Offerings - On December 8, the staff (Staff) of the Securities and Exchange Commission’s...more

12/19/2016 - Australia Banking Examinations C&DIs Central Counterparties Counterparties EU FDIC Foreign Private Issuers Mexico No-Action Relief Regulation S Transitional Arrangements UK Brexit

Corporate and Financial Weekly Digest - Volume XI, Issue 47

SEC/CORPORATE - Supreme Court Rules on Insider Trading Involving Family and Friends - In its first insider trading decision in nearly two decades, the US Supreme Court ruled unanimously to uphold an insider trading...more

12/12/2016 - Aggregation Rules Capital Requirements FINRA Insider Trading MiFID II Position Limits Reporting Requirements UK Brexit US v Salman

Corporate and Financial Weekly Digest - Volume XI, Issue 46

ISS Releases 2017 Proxy Voting Guideline Updates - On November 21, ISS published its 2017 Proxy Voting Guideline Updates, which will be in effect for meetings held on or after February 1, 2017. The US 2017 updates cover...more

12/5/2016 - C&DIs CFTC EU European Commission Financial Conduct Authority (FCA) Forex Glass Lewis ISS NFA Proxy Season UK UK Brexit

Corporate and Financial Weekly Digest - Volume XI, Issue 43

SEC/CORPORATE - SEC Proposes Amendments To Require Universal Proxy Cards in Contested Elections - On October 26, the Securities and Exchange Commission voted to propose amendments to the proxy rules that would...more

11/7/2016 - Canada ISS Memorandum of Understanding No-Action Relief Proxy Access Rule 147 Rule 504 SEFs UK Brexit Universal Proxy Cards

Corporate and Financial Weekly Digest - Volume XI, Issue 40

BROKER-DEALER – “Trade Match” and “Trade Acceptance” Clearing Submissions on FINRA’s Alternative Display Facility – On October 7, the Financial Industry Regulatory Authority issued a Trade Reporting Notice regarding...more

10/17/2016 - Block Trades Cross-Border Transactions Cybersecurity EU Foreign Subsidiaries MiFID II SEFs Senior Managers Insurers Regime (SMIR) Transparency UK

Corporate and Financial Weekly Digest - Volume XI, Issue 34

SEC/CORPORATE - SEC Increases Registration Statement Filing Fees for Fiscal Year 2017 - On August 31, the Securities and Exchange Commission announced that, effective October 1, the fees that public companies and...more

9/7/2016 - Electronic Filing EU Filing Fees IOSCO MSRB PACs Pay-To-Play Registration Statement UK

Corporate and Financial Weekly Digest - Volume XI, Issue 33

SEC/CORPORATE - SEC Seeks Public Comment on Disclosure Requirements of Subpart 400 of Regulation S-K - On August 25, the Securities and Exchange Commission announced that it is seeking public comment on the issues...more

8/29/2016 - Comment Period Committee on Payments and Market Infrastructure (CPMI) International Harmonization IOSCO MiFID II MiFIR Regulation S-K Security-Based Swaps SEFs

Corporate and Financial Weekly Digest - Volume XI, Issue 28

SEC Proposes Amendments To Update and Simplify Disclosure Requirements: A Closer Look - On July 13, the Securities Exchange Commission proposed and requested comment regarding rule amendments to update and simplify...more

7/28/2016 - AIFMD Passport DTCC EU Eurozone GAAP IFRS MiFID II Regulation S-K Regulation S-X TRACE Transparency

Corporate and Financial Weekly Digest - Volume XI, Issue 26

SEC/CORPORATE – SEC Division of Corporation Finance Issues C&DIs on Application of Rule 701 – On June 23, the Staff of the Division of Corporation Finance (Staff) of the Securities and Exchange Commission...more

7/11/2016 - Associated Persons C&DIs Chapter 11 Credit Default Swaps Economic Sanctions EU FINRA Golden Leash Arrangements Lehman Brothers Mergers MiFIR Popular SEFs Smaller Reporting Companies Stock Float Suspicious Activity Reports (SARs) UK UK Brexit

Corporate and Financial Weekly Digest - Volume XI, Issue 25

SEC/CORPORATE - SEC Proposes Rules Updating Mining Registrant Disclosure Requirements - On June 16, 2016, the Securities and Exchange Commission proposed rules (Proposed Rules) to modernize the property disclosure...more

6/27/2016 - CME Customer Protection Rule EU EU Market Abuse Regulation (EU MAR) Form PQR No-Action Relief Regulation S-K UK UK Brexit

Brexit: Implications for the Financial Services Industry

The UK has voted to cease being an EU member state. Yesterday, June 23, 2016, the UK held a referendum on its future in the European Union (EU)—the "Brexit". The result this morning shows that 51.9% of voters in the UK...more

6/24/2016 - Bilateral Agreements Cross-Border Transactions EEA EU Financial Institutions Member State Referendums Trade Agreements UK Brexit WTO

Corporate and Financial Weekly Digest - Volume XI, Issue 23

SEC/CORPORATE - SEC Adopts Amendment to Form 10-K Permitting the Summary of Business and Financial Information - On June 1, the Securities and Exchange Commission adopted an interim final rule (Rule), as mandated...more

6/13/2016 - Algorithmic Trading European Commission Fixing America’s Surface Transportation Act (FAST Act) Form 10-K Interest Rate Swaps MiFID II Registration Requirement Security-Based Swaps Swap Clearing

Corporate and Financial Weekly Digest - Volume XI, Issue 22

BROKER-DEALER FINRA - Issues Guidance With Respect to Stop Orders and Volatile Market Conditions - On May 26, FINRA issued guidance encouraging firms to review their policies with respect to the use of stop orders...more

6/6/2016 - CFPB Comment Period EU EU Market Abuse Regulation (EU MAR) Federal Reserve Foreign Exchanges Payday Loans Position Limits Proposed Regulation SEFs Shadow Banking UK

Corporate and Financial Weekly Digest - Volume XI, Issue 18

SEC/CORPORATE - SEC Approves Amendments to Implement Provisions of the JOBS Act and FAST Act - On May 3, the Securities and Exchange Commission approved amendments to revise certain rules under the Securities...more

5/9/2016 - CFPB Crowdfunding EU Fixing America’s Surface Transportation Act (FAST Act) G-SIB ISDA JOBS Act Mandatory Arbitration Clauses MiFID II Regulation Technical Standards (RTS)

Corporate and Financial Weekly Digest - Volume XI, Issue 15

SEC/CORPORATE - SEC Publishes Concept Release Regarding Business and Financial Disclosure - On April 13, the Securities and Exchange Commission published a concept release, recommended by the SEC’s Division of...more

4/18/2016 - Covered Swap Entities (CSE) EU JOBS Act Loan Origination Funds MiFID II No-Action Letters Pension Schemes Regulation S-K UK

Draft RTS on Risk-Mitigation Procedures for OTC Derivatives Not Cleared by CCPs Published by EU Supervisory Authorities

On March 8, the European Supervisory Authorities (which includes the European Banking Authority (EBA), the European Insurance and Occupational Pensions Authority and the European Securities and Markets Authority) published...more

3/23/2016 - Derivatives EIOPA EMIR EU European Banking Authority European Securities and Markets Authority (ESMA) Margin Requirements Risk Mitigation RTS

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