March 6, 2024 Webinar
10:00 a.m. – 11:00 a.m. EST
Register here.

Following a remarkable U-turn, discussions continue to take place on the adoption of the EU Corporate Sustainability Due Diligence Directive (“CS3D”), which would introduce mandatory human rights and environment due diligence requirements for both EU and non-EU companies. But what would CS3D

On January 24, 2024, as we previously posted, the Securities and Exchange Commission (SEC) finalized the rules for special purpose acquisition companies (SPACs). Anna Pinedo, joined Yelena Dunaevsky, Senior Vice President, Transactional Insurance at Woodruff Sawyer, and founder of Women in SPACs, for a discussion.

Watch on Yelena’s podcast discussion.

February 13, 2024
12:00pm – 1:00pm EST
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During this session, Mayer Brown panelists, Brian Hirshberg, Larry Cunningham and Thomas Kollar, will discuss US Securities Exchange Commission (SEC) disclosures, and recent developments for foreign private issuers (FPIs). Additionally, they will cover other areas of focus that should be top-of-mind for companies as they

Mayer Brown’s Larry Cunningham testified today before the House Financial Services Committee at a hearing titled: Oversight of the SEC’s Proposed Climate Disclosure Rule: A Future of Legal Hurdles.

The SEC’s proposed climate risk disclosure rules, which we discussed here have proven to be quite controversial and generated significant comment from market participants.  The SEC

Webinar December 7, 2023
1:00 – 2:00 p.m. ET
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It’s time to start preparing for the 2024 proxy and annual report season. Additional time may be required this year because of the substantial scope and pace of relevant changes in law and practice.

During this session, join Mayer Brown partner Jennifer Carlson

Webinar: November 6, 2023
3:00 p.m. – 4:00 p.m. ET
Register here.

The New York Department of Financial Services (NYDFS) has finalized its cybersecurity regulation for banks, branches and agencies of foreign banks, insurance companies, mortgage loan originators, mortgage loan servicers, mortgage brokers, licensed lenders, sales finance companies, money transmitters and other financial services

Seminar November 13, 2023
9:00 a.m. – 12:45 p.m. ET

Register here.

Financial services firms’ corporate compliance programs continue to be under intense regulatory scrutiny and face immense challenges brought upon by the FinTech revolution. Many of the financial service regulators have been looking at these developments with a keen interest. The regulatory landscape

October 4, 2023 Intelligize Webinar

1:00-2:00 p.m. ET

During this session focusing on recent developments and trends with the US Securities Exchange Commission (SEC), panelists Ryan Castillo and Anna Pinedo, partners at Mayer Brown, joined by Polia Nair, Assurance Partner at CohnReznick, will cover the following topics:

  • Amendments to Rule 10b5-1: