Compliance News: Financial Industry Coronavirus (COVID-19) Resources
Financial Industry Coronavirus (COVID-19) Resources
Regulator Updates
SEC Provides Temporary, Conditional Relief to Allow Small Businesses to Pursue Expedited Crowdfunding Offerings (5/4/20)
SEC Provides Additional Temporary Regulatory Relief and Assistance to Market Participants Affected by COVID-19 (3/26/2020)
Temporary Exemptive Order: Regarding Rule 606 of Regulation NMS Under the Exchange Act in Response to the Effects of COVID-19 (3/25/2020)
Staff Statement: Regarding Rule 302(b) of Regulation S-T in Light of COVID-19 Concerns (3/24/2020)
Conditional Exemptive Order: Relief for Registered Transfer Agents and Certain Other Persons Affected by COVID-19
Immediate Effectiveness of Proposed Rule Change: Facilitating NYSE Electronic Auctions in Light of Temporary Closure of Physical Trading Floor
Staff No Action Letter: Affiliated Purchases under Rule 17a-9 of the Investment Company Act (3/19/2020)
Staff Guidance: New and Updated Frequently Asked Questions for Investment Advisers on: Conducting Investment Advisory Business from a Temporary Location (Form ADV Item 1.F) & Inadvertent Adviser Custody During a Temporary Office Closure (Question II.1) (3/16/2020)
Staff No Action Letter: Consolidated Audit Trail Reporting (3/16/2020)
Immediate Effectiveness of Proposed Rule Change: Facilitating Continued Operations of the Cboe Options Exchange In Light Of Temporary Suspension of Cboe Physical Trading Floor (3/14/2020)
Conditional Exemptive Order: Targeted Action to Assist Funds and Advisers, Permit Virtual Board Meetings and Provide Conditional Relief From Certain Filing Procedures for Funds and Investment Advisers Affected by COVID-19 (3/13/2020)
Staff Guidance: Providing Guidance to Facilitate Continued Shareholder Engagement, Including at Virtual Annual Meetings, for Companies and Funds Affected by COVID-19 (3/13/2020)
Staff Statement: Fund Board Meetings and Unforeseen or Emergency Circumstances Related to COVID-19 (3/4/2020)
Conditional Exemptive Order: Providing Conditional Regulatory Relief and Assistance for Companies Affected by COVID-19 (3/4/2020)
Joint Statement: Effects of the Coronavirus on Financial Reporting 2/19/2020
Statement from Chairman Clayton: Impact of the Coronavirus 1/30/2020
Select COVID-19 Compliance Risks and Considerations for Broker-Dealers and Investment Advisers (8/12/20) Visit the SEC’s Release Here: https://www.sec.gov/files/Risk%20Alert%20-%20COVID-19%20Compliance.pdf
FINRA
CFTC/NFA
FCA
FFIEC
Exchange & CCP Guidance
CBOE
CME Group
ICE/NYSE
OCC
Common Practices
Cybersecurity and Infrastructure Security Agency (CISA)
Industry Operations
DTCC: Coronavirus Disease (COVID-19) – Physical Securities Processing
Tradeweb: TW SEF and DW SEF Covid-19-related CFTC Filing and Notifications
General Coronavirus (COVID-19) Resources
World Health Organization (WHO)
Centers for Disease Control and Prevention (CDC)
Government Resources
State Government Resources
MultiState Associates
National Governors Association (NGA)
National Conference of State Legislatures (NCSL)
North American State Securities Administrators Association
Quick Links to State-Specific Information
Common Practices
Market Close Information
Industry Operations
Industry Associations
Other