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Thursday, March 9, 2017
Murphy & McGonigle earns award in National Association of Women Lawyers Inaugural YouTube Video Contest. Click here for video.
Murphy & McGonigle earns award in National Association of Women Lawyers Inaugural YouTube Video Contest.

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Thursday, February 2, 2017
Kate McGrail comments on data analytics in InvestmentNews article “Regulators use big data to turn up enforcement heat”
Securities regulators are turning to big data to increase their enforcement firepower, a move that could eventually help them more easily uncover breaches of suitability in investment product sales.

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Wednesday, January 18, 2017
Len Amoruso to host SEC’s Michael Osnato in fireside chat at SIFMA’s Leaders and Experts Forum 2017
This half-day CLE discussion forum will feature two panels of leading in-house and outside counsel, SEC and FINRA, and SIFMA leaders and experts who will discuss regulatory priorities, ways to successfully manage regulatory investigations and enforcement matters, valuable insights into current FinTech/RegTech developments actively used by regulators and the industry, and ways that financial services firms can use data and regulatory analytics to derive and support solutions.

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Monday, January 9, 2017
Murphy & McGonigle’s Diversity & Inclusion submits video for NAWL YouTube video contest.
Murphy & McGonigle’s Diversity & Inclusion submits video for NAWL YouTube video contest

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Thursday, December 22, 2016
Kate McGrail to serve on SIFMA Conference Panel “Responding to Regulatory Inquiries in the Big Data Age: Is Your Firm Ready?”
SIFMA and Bates Group will co-host the 2017 Leaders & Experts Forum: Successfully Managing Regulatory Investigations and Enforcement Matters in the New Regulatory Landscape and Big Data-Driven Age on Thursday, January 26th, 2017, at the SIFMA Conference Center in New York City.

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Wednesday, December 21, 2016
Larry Bergmann Addresses Regulation SHO and Bona-Fide Market Making
The SEC has instituted administrative proceedings against Wilson-Davis & Company (WDCO), a Utah broker-dealer, and certain associated persons for, among other things, improperly claiming the “bona- fide market making” exception to the requirement in Rule 203 of Regulation SHO to obtain a “locate” of stock before effecting short sales.

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Tuesday, December 20, 2016
Matt Comstock writes how the SEC is better understanding blockchain technology in article in The Hill.
Matt Comstock writes how the SEC is better understanding blockchain technology in article in The Hill.

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Monday, December 19, 2016
Murphy & McGonigle Looking Forward 2017
For the fifth year in a row, U.S. News & Best Lawyers selected Murphy & McGonigle as a National Tier One Law Firm. This year, we were honored in Securities Regulation, Litigation – Securities, and Corporate Law. Only 25 firms received National Tier One recognition in all three areas. As you can see below, we are the youngest and smallest firm among those 25 listed, by far.

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Tuesday, December 13, 2016
Brian Walsh speaks on the possible narrowing CFTC enforcement under Trump
The CFTC could narrow its interpretation of antimanipulation authority granted by the Dodd-Frank Act once President-elect Trump takes office, enforcement lawyers told Bloomberg BNA. There are certain types of cases that are less likely to be prosecuted because they’re borderline and don’t go to what the CFTC’s mandate is, which includes policing fraud, manipulation and trade practice abuse.

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Monday, December 12, 2016
James Murphy discusses innovation and inspiration in Lawyer Monthly feature article
‘Having a culture of innovation in a law firm is unusual. Many lawyers are trained to be risk averse.’ James Murphy keeps a laser focus on the changes affecting his financial services clients, while he also drives innovation at Murphy & McGonigle.

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