SEC Grants Exemptive Relief from Certain Inline XBRL Filing or Submission Requirements
Washington, D.C.--(Newsfile Corp. - September 14, 2026) - The Securities and Exchange Commission issued an order granting exemptive relief from certain Inline XBRL requirements adopted on Dec. 16, 2024. More specifically, the Commission is granting exemptive relief from filing or submitting the following in Inline XBRL: Form CA-1 (except Exhibit H thereto), Form 1 (except Exhibit I thereto), Form X-17A-5 Part III, Form 17‑H, and the annual compliance report of a security
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2026-09-14 1:21 PM EDT | Newsfile SEC Press Digest
Joint Readout of Principals' Meeting of U.S. and UK Authorities Regarding Central Counterparty Resolution
Washington, D.C.--(Newsfile Corp. - September 11, 2026) - Senior officials from the Securities and Exchange Commission, Federal Deposit Insurance Corporation, Commodity Futures Trading Commission, Federal Reserve Board, and Bank of England convened for a tabletop exercise on Sept. 3, 2026, to discuss certain issues relating to the hypothetical resolution of central counterparties (CCPs). This meeting was one of a regular series of senior-level meetings held since 2017 to share
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2026-09-11 11:11 AM EDT | Newsfile SEC Press Digest
SEC Charges Founder and His Two New Jersey-Based Companies in Alleged $16 Million Ponzi Scheme
Washington, D.C.--(Newsfile Corp. - September 10, 2026) - The Securities and Exchange Commission today charged Ernest Ossei Boateng and two New Jersey-based companies he controls, Intercontinental Wealth Network LLC and I Wealth Network LP, for allegedly raising approximately $16 million from more than 200 inexperienced investors through a Ponzi scheme he operated from at least January 2020 until at least March 2026. According to the SEC’s complaint, Boateng,
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2026-09-10 4:38 PM EDT | Newsfile SEC Press Digest
SEC Proposes Rescission of Political Contribution Rule for Investment Advisers
Washington, D.C.--(Newsfile Corp. - September 3, 2026) - The Securities and Exchange Commission today issued a proposal to rescind its “pay-to-play” rule that prohibits investment advisers from providing compensated investment advisory services to a government client for two years after making a political contribution to certain elected officials or candidates, and related recordkeeping requirements. All other requiremen
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2026-09-03 4:54 PM EDT | Newsfile SEC Press Digest
SEC Investor Advisory Committee to Host Sept. 10 Meeting
Washington, D.C.--(Newsfile Corp. - September 3, 2026) - The Securities and Exchange Commission’s Investor Advisory Committee will host a public meeting at the SEC Headquarters in Washington D.C. on Sept. 10 at 10 a.m. ET to discuss artificial intelligence technologies in the public markets and the SEC’s Regulation National Market System rules. The meeting will also be webcast on the
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2026-09-03 11:58 AM EDT | Newsfile SEC Press Digest
SEC Announces Agenda and Panelists for Roundtable on Preparations for 24-Hour Trading
Washington, D.C.--(Newsfile Corp. - September 1, 2026) - The Securities and Exchange Commission today announced the agenda and panelists for its Sept. 17, 2026, roundtable on preparations for 24-hour trading. The roundtable will be held at the SEC’s headquarters at 100 F Street, N.E., Washington, D.C., from 10 a.m. – 4 p.m. ET. The event will be open to the public and webcast live on the SEC’s website
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2026-09-01 5:43 PM EDT | Newsfile SEC Press Digest
SEC Charges San Francisco Bay Area Private Fund Executives with Multimillion Dollar Ponzi-Like Scheme
Washington, D.C.--(Newsfile Corp. - September 1, 2026) - The Securities and Exchange Commission today charged Mark D. Hanf, the former CEO of Novato, California-based Pacific Private Money Group LLC (PPMG), and Hoai-Nam Chu Phan, the former COO of a PPMG subsidiary, with orchestrating an offering fraud that raised more than $80 million from approximately 190 mostly retail investors, many of whom were retired senior citizens. According to the SEC’s complaint, f
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2026-09-01 4:49 PM EDT | Newsfile SEC Press Digest
SEC Proposes to Modernize Rules for Registered Transfer Agents
Washington, D.C.--(Newsfile Corp. - September 1, 2026) - The Securities and Exchange Commission today proposed to update the rules and forms that apply to registered transfer agents. Transfer agents are a key component of the national clearance and settlement system. Transfer agents now perform a more diverse array of functions and services that may not be adequately addressed by the Commission’s transfer agent rules, which have not been substantively updated
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2026-09-01 11:27 AM EDT | Newsfile SEC Press Digest
SEC and FDA Announce MOU to Bolster Cooperation and Ensure Market Integrity
Washington, D.C.--(Newsfile Corp. - August 31, 2026) - The Securities and Exchange Commission and the Food and Drug Administration today announced that they have entered into a Memorandum of Understanding (MOU) designed to assist the agencies in carrying out their respective missions of ensuring the integrity of the financial markets and protecting public health. The MOU establishes a framework for
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2026-08-31 4:19 PM EDT | Newsfile SEC Press Digest
SEC Proposes Amendments to Exchange Act Rule 3a12-8 to Add European Union Debt Obligations
Washington, D.C.--(Newsfile Corp. - August 28, 2026) - The Securities and Exchange Commission today proposed amendments to Rule 3a12-8 under the Securities Exchange Act of 1934 to add the debt obligations of the European Union (EU) to the list of foreign government debt obligations designated as "exempted securities" solely for the purposes of futures marketing and trading. “For too long, gaps like this one—where the debt of several EU member states was
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2026-08-28 1:55 PM EDT | Newsfile SEC Press Digest
SEC: 38 Entities Feigned Legitimacy as U.S. Advisers Through False Filings to Lure Retail Investors
Washington, D.C.--(Newsfile Corp. - August 27, 2026) - The Securities and Exchange Commission today charged 38 entities alleging that they made material misrepresentations in Forms ADV filed with the Commission between 2025 and 2026 to falsely portray themselves as legitimate advisory firms to U.S. investors. The complaints also allege that the defendants, a number of whom used IP addresses that were tracked to foreign jurisdictions to connect to the Commission’s filing
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2026-08-27 6:17 PM EDT | Newsfile SEC Press Digest
SEC Charges Former Executives With Fraud in Connection With $1.9 Billion Collapse of Subprime Auto Lender Tricolor
Washington, D.C.--(Newsfile Corp. - August 18, 2026) - The Securities and Exchange Commission today charged Daniel Chu, Jerome Kollar, and Ameryn Seibold, the former CEO, CFO, and Senior Director of Finance, respectively, at Texas-based Tricolor Holdings, LLC, for their roles in an alleged multi-year scheme to defraud investors by double pledging hundreds of millions of dollars of subprime auto loans to multiple asset-backed securities (ABS) offerings and lenders.
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2026-08-18 4:35 PM EDT | Newsfile SEC Press Digest
SEC Proposes New Regulation Crypto Assets
Washington, D.C.--(Newsfile Corp. - August 18, 2026) - The Securities and Exchange Commission today announced that it proposed new rules, titled “Regulation Crypto Assets,” that would create a clear and fit-for-purpose framework for certain investment contracts involving crypto assets. This proposal follows the Commission’s March 2026 interpretation clarifying how the federal securities laws apply to certain crypto assets and transactions involving crypto assets.
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2026-08-18 2:46 PM EDT | Newsfile SEC Press Digest
SEC Charges Boiler Room Operator and Three Entities with Defrauding Retail Investors in $74 Million Pre-IPO Investment Scam
Washington, D.C.--(Newsfile Corp. - August 14, 2026) - The Securities and Exchange Commission today charged New York resident Andrew Spaventa and three entities he owned and controlled with fraud and other violations in connection with unregistered securities offerings of private funds that purportedly provided retail investors an opportunity to invest in shares of “pre-IPO” private companies while charging hidden fees. According to the SEC’s compl
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2026-08-14 5:12 PM EDT | Newsfile SEC Press Digest
SEC Charges Toms River Trio in Connection with Alleged $47 Million Fraud Targeting Orthodox Jewish Communities
Washington, D.C.--(Newsfile Corp. - August 13, 2026) - The Securities and Exchange Commission today charged three Toms River, New Jersey residents for their roles in an affinity investment fraud that misappropriated approximately $47 million from more than 87 investors, who were primarily members of Orthodox Jewish communities in New Jersey and New York. The SEC’s complaint, filed in federal court in the District of New Jersey, alleges that between appro
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2026-08-13 4:57 PM EDT | Newsfile SEC Press Digest
SEC Charges Private Fund Adviser Adit Ventures Management, Its CEO and Affiliated General Partners in Alleged Fraud
Washington, D.C.--(Newsfile Corp. - August 10, 2026) - The Securities and Exchange Commission today charged New York-based investment adviser Adit Ventures Management LLC, its CEO Eric Munson, and three affiliated general partners, Adit Ventures LLC; Adit Ventures II LLC; and Adit Ventures III LLC (the General Partners), for allegedly defrauding investors and client funds in connection with investments in pre-IPO shares, such as SpaceX and Klarna, including by misappropriating
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2026-08-10 4:16 PM EDT | Newsfile SEC Press Digest
SEC Establishes Financial Reporting and Accounting Unit in Enforcement Division
Washington, D.C.--(Newsfile Corp. - August 5, 2026) - The Securities and Exchange Commission today announced it is establishing a new specialized unit within the Division of Enforcement to provide the dedicated expertise, focus, and capacity to pursue accounting and financial reporting fraud cases as well as general misconduct in the accounting and auditing areas. The Financial Reporting and Accounting Unit will work in close collaboration with staff across all relevant SEC di
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2026-08-05 3:39 PM EDT | Newsfile SEC Press Digest
SEC Announces Continuation of Small Business Advisory Committee Meeting
Washington, D.C.--(Newsfile Corp. - July 30, 2026) - The Securities and Exchange Commission announced that the Small Business Capital Formation Advisory Committee meeting held on July 21, 2026, will reconvene August 6, 2026, at 1 p.m. ET, virtually, on SEC.gov. The committee will continue its exploration into modernizing public market access and encouraging IPOs and small public comp
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2026-07-30 11:14 AM EDT | Newsfile SEC Press Digest
Small Business Forum's Report to Congress Highlights Recommendations to Improve Capital-Raising Policy
Washington, D.C.--(Newsfile Corp. - July 27, 2026) - The Securities and Exchange Commission released a report to Congress today highlighting policy recommendations from the SEC’s 45th Annual Government-Business Forum on Small Business Capital Formation. The report provides a summary of the forum proceedings, policy recommendations developed
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2026-07-27 5:13 PM EDT | Newsfile SEC Press Digest
SEC Announces Roundtable on Preparations for 24-Hour Trading
Washington, D.C.--(Newsfile Corp. - July 23, 2026) - The Securities and Exchange Commission announced today that it will host a roundtable on Sept. 17, 2026, to discuss moving towards 24-hour trading in the U.S. equity markets, including preparations to support overnight trading, operations and resiliency in a 24-hour market, and opportunities and challenges for expansion. “We are moving towards a new day – and night – in the U.S. equity markets,
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2026-07-23 12:14 PM EDT | Newsfile SEC Press Digest