Insights
Client Alerts/eUpdates/Alerts
Alaska HB 126: What Changes for Alaska Native Corporations, Proxy Filings, and Annual Reports
July 13, 2026
by Bonnie J. Paskvan, Hannah Benson, and Danika Watson
Client Alerts/eUpdates/Alerts
SEC Risk Alert Puts Investment Adviser Conflicts of Interest Back in Focus
June 22, 2026
by David Tang, Bradley M. Pugh, Michael Schmieder, Wesley Papiernik, and Kate Zurcher
Client Alerts/eUpdates/Alerts
SEC Increases Qualified Client Thresholds for Charging Performance Fees
May 11, 2026
by Bradley M. Pugh, David Tang, Michael Schmieder, and Wesley Papiernik
Client Alerts/eUpdates/Alerts
SEC Issues New Risk Alert on the Marketing Rule
December 30, 2025
by David Tang and Michael Schmieder
Client Alerts/eUpdates/Alerts
2026 Private Funds Compliance Calendar
December 24, 2025
by David Tang and Michael Schmieder
Client Alerts/eUpdates/Alerts
Observations on the SEC’s 2026 Examination Priorities
December 19, 2026
by David Tang and Michael Schmieder
Client Alerts/eUpdates/Alerts
Deadlines for 2026 IARD Renewal Program
November 3, 2025
by David Tang and Michael Schmieder
Client Alerts/eUpdates/Alerts
Investment Adviser Compliance with FinCEN’s AML/CFT Rule
July 8, 2025
by David Tang, Erin Bryan, and Michael Schmieder
Client Alerts/eUpdates/Alerts
SEC Withdraws 14 Proposed Rules
6/23/2025
by David Tang and Michael Schmieder
Client Alerts/eUpdates/Alerts
FinCEN Eliminates CTA Compliance for U.S. Corporate Entities and U.S. Persons – Limiting Compliance to Foreign Reporting Companies
March 24, 2025
by Erin Bryan, Nathan Honson, Joseph Lynyak, and Matthew Dickerson
Client Alerts/eUpdates/Alerts
U.S. Treasury Abandons the CTA For All Entities Except “Foreign Reporting Companies”
March 4, 2025
by Erin Bryan, Nathan Honson, Joseph Lynyak, and Matthew Dickerson
Client Alerts/eUpdates/Alerts
FinCEN Halts Enforcement of CTA (again!) – A Promised Future Rulemaking Will Reset Compliance Obligations
February 28, 2025
by Erin Bryan, Nathan Honson, Joseph Lynyak, and Matthew Dickerson
Client Alerts/eUpdates/Alerts
FinCEN Confirms New CTA Filing Deadline - But Congress Looks to Push Deadlines For Some Reporting Entities to 2026
February 19, 2025
by Erin Bryan, Nathan Honson, Joseph Lynyak, and Matthew Dickerson
Client Alerts/eUpdates/Alerts
Predictions for the Federal Financial Service Agencies—Slow Down and Wait
February 14, 2025
by Joseph Lynyak and Erin Bryan
Client Alerts/eUpdates/Alerts
U.S. Government Appeals CTA Injunction – But Changes to Reporting Requirements May Be On The Horizon
February 11, 2025
by Erin Bryan, Nathan Honson, Joseph Lynyak, and Matthew Dickerson
Client Alerts/eUpdates/Alerts
SCOTUS Overturns One CTA Nationwide Injunction – but Reporting Requirements Still Paused…
January 24, 2025
by Erin Bryan, Nathan Honson, Joseph Lynyak, and Matthew Dickerson
Client Alerts/eUpdates/Alerts
CTA Compliance Paused Yet Again – Federal Appeals Court Reinstates Temporary Nationwide Injunction
December 30, 2024
by Erin Bryan, Nathan Honson, Joseph Lynyak, and Matthew Dickerson
Client Alerts/eUpdates/Alerts
FinCEN Sets Revised CTA Filing Deadlines After Federal Appeals Court Overrules Temporary Nationwide Injunction
December 24, 2024
by Erin Bryan, Nathan Honson, Joseph Lynyak, and Matthew Dickerson
Client Alerts/eUpdates/Alerts
2025 Private Funds Compliance Calendar
December 19, 2024
by David Tang and Michael Schmieder
Client Alerts/eUpdates/Alerts
FinCEN Responds to Temporary Injunction Halting Enforcement of the Corporate Transparency Act
December 9, 2024
by Erin Bryan, Nathan Honson, Joseph Lynyak, and Matthew Dickerson
Client Alerts/eUpdates/Alerts
Deadlines for 2025 IARD Renewal Program
November 14, 2024
by David Tang and Michael Schmieder
Media Mentions
Partner David Tang Discusses Impact of Recent Cybersecurity Crises on Financial Services Industry
August 21, 2024
by David Tang
Articles
CFPB's Earned Wage Access Rule Marks Regulatory Shift
August 19, 2024
by Erin Bryan and Courina Yulisa
Media Mentions
David Tang Shares Observations on SEC's Recent Constraints After Several Judgements
July 31, 2024
by David Tang
Client Alerts/eUpdates/Alerts
DOJ Secures Conviction in First Insider Trading Case Based Exclusively on Rule 10b5-1 Trading Plans
June 25, 2024
Podcasts
Margot Laporte Discusses the First Insider Trading Case Based Exclusively on Rule 10b5-1 Trading Plans on the Bloomberg Law Podcast
June 25, 2024
Client Alerts/eUpdates/Alerts
SEC Adopts Amendments to Expand the Requirements of Regulation S-P for Registered Investment Advisers and Broker-Dealers
June 10, 2024
by David Tang, Austin T. Chambers, and Michael Schmieder