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Searching Content indexed under Corporate Governance by Edward G. Eisert ordered by Published Date Descending.
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Federal Reserve Updates Risk Management Supervisory Guidance For Smaller FBOs
On June 8, 2016, the Federal Reserve updated its Supervisory Guidance that partially supersedes SR letter 95-51, "Rating the Adequacy of Risk Management and Internal Controls at State Member Banks and Bank Holding Companies."
United States
20 Jun 2016
2
SEC Adopts Rules To Improve Systems Compliance And Integrity Rules To Strengthen Technology Infrastructure Of Securities Markets
On November 19, the Securities and Exchange Commission voted to adopt new rules designed to strengthen the technology infrastructure of the U.S. securities markets.
United States
23 Nov 2014
3
FHFA Appoints New Chairman Of Fannie Mae Board Of Directors
On February 25, FHFA announced that Philip A. Laskawy will step down from the chairmanship of Fannie Mae effective March 31, 2014.
United States
12 Mar 2014
4
ESMA Publishes CRA III Regulation Implementation Consultation Paper
On February 11, ESMA published a consultation paper on the implementation of the CRA III Regulation containing draft regulatory technical standards (RTS).
European Union
4 Mar 2014
5
SEC Issues Interpretive Guidance On New Municipal Advisors Registration Rule
On January 10, the SEC announced that its Office of Municipal Securities has issued interpretive guidance to address questions from market participants regarding the implementation of new final SEC rules requiring municipal advisors to register with the SEC.
United States
16 Jan 2014
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