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White Collar Briefly

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White Collar Briefly

Drawing from breaking news, ever changing government priorities, and significant judicial decisions, this blog from Perkins Coie’s White Collar and Investigations group highlights key considerations and offers practical insights aimed to guide corporate stakeholders and counselors through an evolving regulatory environment. 

Pen with business report on financial advisor desk. Concept of business planning , accounting.
November 19, 2015

New DOJ Guidance on Self-Disclosure in FCPA Cases?

The Washington Post reported last week that the DOJ is considering an internal policy that could give some companies a "free pass" if they voluntarily disclose violations of the FCPA, including i

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conversation
November 18, 2015

SEC Enforcement:  Self-Reporting is Prerequisite to Deferred and Non Prosecution Agreements in FCPA  

In his keynote address at the ACI 32nd International Conference on the Foreign Corrupt Practices Act in Washington, DC on November 17, 2015, SEC Enforcement Director Andrew Ceresney announced to the in-house compliance officials and corporate defense attorneys in attendance that, going forward, any public company that fails to self-report a potential FCPA violation to the SEC will be inelig

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People sitting in front of a laptop
October 13, 2015

SEC's Use of ALJs: Possible U-Turn Ahead

Oh, what a year makes.  Back in October 2014, all the chatter was about the SEC's increased use of its home-grown Administrative Law Judges to move its enforcement actions to their conclusion versus tangling with defendants in federal court.  

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Supreme Court Outside
October 12, 2015

Second Circuit: Dodd-Frank "Anti-Retaliation" Applies Even When Whistleblower-Employees Have Not Reported to the SEC

Creating a circuit split that will likely be headed for resolution by the U.S. Supreme Court, the Second Circuit's recent decision in Berman v.

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Government
October 5, 2015

The SEC Turns Up The Heat On Financial Reporting Fraud

[Editor's Note:  This past Friday, Perkins Coie Partner Lou Mejia, former SEC Chief Litigation Counsel, joined the chair of the SEC Enforcement Division's Financial Reporting and Audit Group on a panel to discuss the agency's latest enforcement efforts surrounding financial reporting fraud]. 

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Gavel banging
September 28, 2015

A Twist in the SEC's Battle to Preserve its Internal Court System

The Securities and Exchange Commission has had its fair share of controversy related to its in-house administrative enforcement proceedings.  

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Corporate Building
September 10, 2015

DOJ Memo to Prosecutors Calls for More Aggressive Pursuit of Corporate Executives

The U.S. Department of Justice—widely criticized for the perceived lack of cases brought against corporate executives—issued a new directive yesterday to all U.S. Attorneys designed to hold more individuals accountable for illegal corporate conduct.   

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Employees in the Office
August 11, 2015

New SEC Guidance: Dodd-Frank Protects Internal Whistleblowers

Shortly after the July 2010 adoption of the Dodd-Frank Act's whistleblower program, disputes began arising over whether its anti-retaliation protections apply to employees who report misconduct internally to the company, but not externally to the SEC.  

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U.S. Capitol at sunset
July 20, 2015

9th Circuit Rejects Newman Holding on Insider Trading

In an apparent circuit split that may well garner attention from the Supreme Court, a Ninth Circuit panel issued an opinion in United States v.

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Technology and Communications related image
July 1, 2015

Ninth Circuit Rules that Google Earth Image and Location Marker Not Hearsay

In a decision that embraces the use of modern-day technology to assist the trier of fact, the Ninth Circuit recently ruled that neither a Google Earth satellite image nor a program-generated digital "tack" of GPS coordinates placed on the satellite image is hearsay for

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Bankruptcy & Restructuring image, train tracks
June 30, 2015

Why We Should Expect More Criminal Cases Charging Illegal Coordination Between Campaigns and Super PACs

Note: An earlier post on Perkins Coie's In the Arena: Law and Politics Update discussed, from a campaign finance lawyer's perspective, why the prosecution in United States v.

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Government
June 12, 2015

DOJ and SEC Dig In After Judicial Blow to SEC’s Home “Court” Advantage

As observed in this blog and elsewhere, the U.S. Securities and Exchange Commission has aggressively pursued enforcement actions in administrative proceedings before its own Administrative Law Judges (ALJs), rather than before federal judges in the U.S. District Courts.  

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Group of people standing over a table in a conference room.
June 4, 2015

Judge Cautions Plaintiffs’ Counsel to Exercise Proper Diligence in Drafting Securities Class Action Complaints

Late last week, Judge Engelmayer in the Southern District of New York accepted a voluntary dismissal of a securities class action, but the dismissal was anything but routine. 

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Pen with business report on financial advisor desk. Concept of business planning , accounting.
May 20, 2015

Will New Anti-Corruption Legislation Lead to Stronger Enforcement Activity in Latin America?

Given the prevalence of corruption and graft issues in various Latin American countries , it may come as a surprise to some that many of Latin America's most notoriously "corrupt" countries have actually enacted fairly extensive anti-corruption laws in recent years, even as compared to the U.S

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Gavel and Scales
April 14, 2015

Court Restricts Use of Rule 17(c) Subpoena for Gathering Pretrial Discovery

Although not intended to be used as a broad discovery device, Federal Rule of Criminal Procedure 17(c) permits a party in a criminal case to issue a "17(c) subpoena" to order the production of documents in the possession of third parties.  

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