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Newsletters
Corporate and Financial Weekly Digest - September 7, 2007
September 7, 2007
In this issue of CFWD we discuss:
- SEC Critiques Companies’ Executive Compensation Disclosure - Compliance Date Extended for New Program Trading Reporting Obligations - Expansion of Delta Hedging Position Limit Exemption Proposed - FINRA Proposes Amended Price Improvement Requirements - Amex Establishes Directed Order Program - Extension and Expansion of Options Penny Pilot Proposed - Statement Issued on Loss Mitigation Strategies for Servicers of Residential Mortgages - Bulletin Issued to National Banks Regarding Political Contributions - SEC Met Burden for Contempt Order Against Defendants - Issue of Fact Regarding Scienter Prevented Grant of Summary Judgment to Defendants - Application of the Correspondent Account Rule to OTC Executing Dealers - Amendments Made to NFA Interpretive Notice Regarding Enhanced Supervisory Requirements - No-Action Relief Issued on Regulation 1.65 (Transfer of Accounts) - DCIO Issues Advisory on Forex Transactions
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