The future of SEC enforcement under the Biden administration

J. J. Carney, Jonathan R. Barr, Teresa Goody Guillén, Jimmy Fokas, Kevin R. Edgar, Michelle Tanney, Bari Nadworthy, Madison Gaudreau
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引用次数: 1

Abstract

Purpose To examine what to expect from Chair Gary Gensler’s SEC and the new Biden presidential administration following Chair Gensler’s U.S. Senate confirmation on April 14, 2021. Design/methodology/approach Reviews past SEC Chair Jay Clayton’s legacy and Chair Gensler’s prior regulatory actions and focus, and outlines Chair Gensler’s expected initiatives, including a heightened focus on cryptocurrency regulation, investigation of COVID-19-related fraud, and ESG and climate change disclosure. Findings This change will bring forth a Democratic majority at the SEC which, in turn, suggests that the Commission will change its current emphasis on capital formation to focus more on investor protection, rules required by the Dodd-Frank Act, inspections, examinations, and enforcement Practical implications Firms should examine their compliance programs in anticipation of heightened advocacy for investor protection; an increased focus on cryptocurrency and blockchain technology, as well as ESG disclosures with an emphasis on climate change; and an increase in inspections and examinations which will drive more enforcement in the fund industry, as well as increases in initiatives regarding transparency, additional disclosures, and investor protection. Organizations will also benefit by reexamining their existing compliance programs with the advice of counsel as a mechanism to mitigate the risk of potential securities laws violations. Originality/value Practical guidance from experienced securities enforcement and litigation lawyers.
拜登政府下证交会执法的未来
目的研究在2021年4月14日美国参议院确认加里·詹斯勒(Gary Gensler)主席的美国证券交易委员会和新一届拜登总统政府之后,人们对他的期望。设计/方法/方法回顾了SEC主席Jay Clayton的遗产和Gensler主席之前的监管行动和重点,并概述了Gensler主席的预期举措,包括更加关注加密货币监管,调查与covid -19相关的欺诈行为,以及ESG和气候变化披露。这一变化将使民主党在证券交易委员会中占多数,这反过来又表明,委员会将改变其目前对资本形成的强调,更多地关注投资者保护,多德-弗兰克法案要求的规则,检查,检查和执行。实际意义公司应该检查他们的合规计划,以提高对投资者保护的倡导;越来越多地关注加密货币和区块链技术,以及以气候变化为重点的ESG披露;加强检查和审查,这将推动基金业加强执法,并增加透明度、额外披露和投资者保护方面的举措。组织也将受益于通过法律顾问的建议重新审查其现有的合规计划,作为一种减轻潜在违反证券法风险的机制。原创性/价值来自经验丰富的证券执法和诉讼律师的实用指导。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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