Publications

Deadline Approaching For Enhanced Review Of Pre-Existing Outside Business Activities Under New FINRA Rule 3270

In December 2010, FINRA consolidated NASD Rule 3030 and NYSE Rule 346 under the new FINRA Rule 3270, effecting significant revisions to the supervisory requirements of Outside Business Activities which includes broker-dealers’ review of all […]

Digital Printer/Copiers May Cause Data Security Breach

Pursuant to Regulation S-P, financial institutions are required to adopt written policies and procedures to safeguard nonpublic personal customer information. FINRA advises its members that procedures must be reasonably designed to: ensure the security and […]

Enforcement Practice: Limiting “Obey The Law” Injunctions By Burton W. Wiand

To view the publication, please click Enforcement Practice: Limiting “Obey the Law” Injunctions. For more information, please contact Burt Wiand at bwiand@wiandlaw.com.

Private Placements: Seller Beware

As broker/dealers continue to expand their inventories of products and look for new sources of revenues, they have increasingly turned to offerings of private placements. As sales of these products to retail investors have increased, […]

Gianluca Morello Quoted In Hedge Fund Report

Gianluca Morello was quoted in an article in the Hedge Fund Law Report of June 10, 2009 entitled “New Study Offers Surprising Findings on the Incentives Created by Concurrent Management of Hedge and Mutual Funds.” Among […]

Antitrust Litigation Best Practices

“Antitrust Litigation Best Practices: Observations and Tips for Antitrust Litigation”, Aspatore Books, Thomson Reuters, 2008. For more information, please contact Gianluca Morello at gmorello@wiandlaw.com.

Diagnosing Monopsony And Other Issues: An Overview Of The United/PacifiCare Investigation

“Diagnosing Monopsony and Other Issues: An Overview of the United/PacifiCare Investigation,” Co-Authored, Antitrust Health Care Chronicle, March 2006. For more information, please contact Gianluca Morello at gmorello@wiandlaw.com.