In this issue of CFWD we discuss:

  • Treasury Department Proposes New “Say-on-Pay” Legislation
  • Treasury Department Proposes New Compensation Committee Standards
  • Shareholders Did Not Breach Fiduciary Duties Owed to Fellow Shareholders
  • Court Grants SEC’s Motion for Permanent Injunction
  • CBOE Proposes to Amend Rule 8.7 (Obligations of Market-Makers)
  • NYSE’s Proposal to Decommission the DPTR Reporting Requirement
  • FINRA Proposes New Outside Business Activities Rule
  • ISDA Opens Small Bang Protocol for Adherence
  • CFTC Requires CTA Registration from SEC-Registered Investment Advisor
  • CFTC Allows CPOs to Use IFRS in Lieu of U.S. GAAP
  • CFTC Addresses Requests for Financial Reporting Relief
  • Administration Bill Would Require Managers of Hedge and Other Private Funds to Register as Investment Advisors
  • Federal Agencies Release Final Rules and Guidelines Regarding Accurate Consumer Reporting
  • New York Fed Announces $669 Million of TALF Loan Request for Legacy CMBS
  • Delta Air Lines and Virgin Blue Seek Antitrust Immunity
  • Employee Benefit Plans Must Assess FBAR Filing Requirement for Offshore Accounts