Regulatory & Compliance
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Regulatory & Compliance
SEC’s Second Annual Report Summarizing Whistleblower Program Shows Little Change
On November 15, 2013, the U.S. Securities and Exchange Commission (SEC or the Commission) released its Annual Report to Congress on the Dodd-Frank Whistleblower Program (the Report).[1] The Report is remarkable for three reasons. First, the Report shows that, despite very significant...
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Commercial Drones In The United States: The First Test Case
Editor: You are representing Raphael Pirker against the FAA in an important test case involving civilian drone use in the United States. What is the case about, and what kind of drone is involved? Schulman: This is the first-ever litigation in the United States involving the operation of...
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Corporate Counsel's Guide To Compliance
Editor: Please describe your background. Reddick: I co-head Akin Gump’s national corporate practice and am located in its Los Angeles office. I advise clients with respect to the discharge of their fiduciary duties and best practices in corporate governance. The transactional side of my...
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