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Dodd-Frank 30 Day Countdown: Day 18

insights Dodd-Frank 30 Day Countdown: Day 18 Robin Powers · June 28, 2011

India and U.S. Discuss Financial Reform  U.S. Treasury Secretary Timothy Geithner held meetings in Washington yesterday and today with India’s Finance Minister Pranab Mukherjee in the second round of Economic Partnership talks between the two countries. During these meeting, Geithner, Mukherjee, and other attendees discussed some of the “financial sector reforms,” in an effort to…

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Dodd-Frank 30 Day Countdown: Day 19

insights Dodd-Frank 30 Day Countdown: Day 19 Robin Powers · June 27, 2011

Asia On Par with U.S. OTC Derivative Reform As previously reported (on Day 25 of this countdown), Mary Schapiro, SEC Chairperson testified before the House Financial Services Committee on June 16, 2011 regarding “Financial Regulatory Reform: The International Context.”  In her remarks, Schapiro noted that the G20 agreement contemplates that every G20 country will have…

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Dodd-Frank 30 Day Countdown: Day 20

insights Dodd-Frank 30 Day Countdown: Day 20 Robin Powers · June 26, 2011

Australia Contemplates New (but Limited) Derivative Market Reforms Australia is moving closer to fulfilling its G20 pledge to decrease systemic risk in the OTC derivatives market by implementing national regulation. Last week, Australia’s Council of Financial Regulators (the Council) released a discussion paper about what those regulations may look like. While the Australian OTC market…

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Dodd-Frank 30 Day Countdown: Day 21

insights Dodd-Frank 30 Day Countdown: Day 21 Robin Powers · June 25, 2011

Federal Reserve Board Aids in Implementing Title VII The Federal Reserve Board is taking seriously its share of responsibility under the Dodd-Frank Act. Michael Gibson, the Senior Associate Director of the Division of Research and Statistics on the Federal Reserve Board spoke before members of Congress last week (June 15, 2011) to communicate the Board’s…

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Dodd-Frank 30 Day Countdown: Day 22

insights Dodd-Frank 30 Day Countdown: Day 22 Robin Powers · June 24, 2011

Canadian Entities Aim for OTC Derivatives Regulation Though Canada represented only $9 trillion of the $600 trillion OTC derivatives market last year, Canadian investors were not exempt from the fury of the recent market meltdown. In 2007, Canadian investors involved in the asset-backed commercial paper market suffered losses of $35 billion. But, losses notwithstanding, our…

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Dodd-Frank 30 Day Countdown: Day 23

insights Dodd-Frank 30 Day Countdown: Day 23 Robin Powers · June 23, 2011

SEC Provides Guidance and Temporary Relief Regarding Security-Based Swap Provisions of Dodd-Frank Act The SEC today issued guidance as to whichTitle VII requirements will apply to security-based swap transactions when Dodd-Frank goes into effect.   It also granted temporary relief to market participants from compliance with most of the new Exchange Act requirements that would otherwise…

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Dodd-Frank 30 Day Countdown: Day 24

insights Dodd-Frank 30 Day Countdown: Day 24 Robin Powers · June 22, 2011

The Status of Regulation in the European Union With Dodd-Frank taking effect in less than a month, officials on both sides of the Atlantic have been pressuring one another to implement stricter financial regulations, while equivocating on the regulations that they are willing to accept at home.  Michel Barnier, European Commissioner for Internal Market and…

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Dodd-Frank 30 Day Countdown: Day 25

insights Dodd-Frank 30 Day Countdown: Day 25 Robin Powers · June 21, 2011

Testimony by Mary Schapiro on Financial Regulatory Reform: The International Context In testimony before the House Financial Services Committee, SEC Chair Mary Schapiro noted that the US regulators have consulted, and will continue to consult with, international securities regulators that are considering OTC derivatives market reforms.  Schapiro explained that because the OTC derivative marketplace already…

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Dodd-Frank 30 Day Countdown: Day 26

insights Dodd-Frank 30 Day Countdown: Day 26 Robin Powers · June 20, 2011

Investment Advisor Registration Deadline Causing Confusion In the Private Fund Investment Advisers Registration Act of 2010, Congress adopted changes to the Investment Advisers Act of 1940 to require many more managers of hedge funds or private equity funds to register as investment advisers. Registered advisers are expected to update their books and records practices in order to…

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Dodd-Frank 30 Day Countdown: Day 27

insights Dodd-Frank 30 Day Countdown: Day 27 Robin Powers · June 19, 2011

SEC to provide guidance on Dodd-Frank requirements and extend temporary rules under the Exchange Act. As previously noted, the Securities Exchange Commission granted itself an extension to finalize the rules mandated by Dodd-Frank.   The Commission announced that it will shortly clarify which provisions of Title VII will automatically go into effect on July 16, alter…

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