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Implementation of AIFMD2 in Italy

On 27 March 2026, Legislative Decree No. 39/2026 (“Decree”), implementing Directive (EU) 927/2024 on delegation arrangements, liquidity risk management, supervisory reporting, provision of depositary and custody services and loan origination by alternative investment funds (so called AIFMD2) into the Italian legal framework, was published in the Official Gazette....By: Hogan Lovells

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PSR Fines Bank Of Ireland (UK) GBP3.8m For Delayed Implementation Of Confirmation Of Payee

The Payment Systems Regulator (PSR) has fined the Bank of Ireland (UK) plc (BOIUK) GBP3.8m for failing to implement Confirmation of Payee (CoP) send functionality within the regulatory deadline....By: A&O Shearman

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UK Pensions: DC trustee agenda update—April 2026

Welcome to our monthly update on current legal issues for trustees of DC pension schemes, designed to help you stay up to date with key developments between trustee meetings and to support the legal update item on your next trustee agenda. We have a separate update for DB/hybrid schemes....By: A&O Shearman

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Navigating Internal Audit, Cyber Risk, And Regulatory Expectations In Broker-Dealer Operations

Broker-dealers are operating in an increasingly complex risk environment shaped by evolving regulatory expectations, rapid technological advancements, and heightened exposure to cyber-enabled threats. On 25 March 2026, K2 Integrity held a webinar that explored how internal audit, compliance, cybersecurity, and risk management functions must adapt to meet these challenges—particularly in light of recent regulatory guidance and industry observations......By: K2 Integrity

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UK PRA consults on modernising the liquidity policy framework

The UK Prudential Regulation Authority (PRA) has published consultation paper CP5/26 proposing reforms to modernise the existing prudential liquidity framework, taking into account advances in digital banking, payments and communications, and structural developments in the supply of central bank reserves. The proposals focus on targeted amendments to Pillar 2 and through changes to the Internal Liquidity Adequacy Assessment (ILAA) rules and related supervisory expectations within relevant...By: A&O Shearman

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DOL Proposes New ERISA Safe Harbor for Alternative Investments in Retirement Plans

On March 30, 2026, the Department of Labor’s (DOL) Employee Benefits Security Administration proposed a regulation (the Proposal) creating a new process-based safe harbor for Employee Retirement Income Security Act of 1974 (ERISA) fiduciaries that select designated investment alternatives for 401(k) and other participant-directed individual account plans....By: Latham & Watkins LLP

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Prediction Market Legislation Continues to Evolve as Congress Advances New Bills

Congressional attention to prediction markets continues to expand, with new House and Senate bills adding to a growing set of proposals that would reshape the legal and regulatory framework for event contracts....By: Venable LLP

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N.D. Cal. Court Dismisses Plaintiffs’ Complaint Against PayPal for Failing to Allege Market Power and Antitrust Standing

In Sabol v. PayPal Holdings Inc., No. 23-cv-05100-JSW (N.D. Cal. Nov. 5, 2025), the court dismissed Plaintiffs’ complaint because they failed to allege PayPal had market power and failed to allege antitrust standing, with leave to amend. Originally published in the California Lawyers Association E-Briefs, News and Notes - February 2026...By: Zelle LLP

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DOL Issues Proposed Rule and Safe Harbor Intended to Facilitate the Inclusion of Alternative Assets in 401(k) Plans

On March 30, 2026, the U.S. Department of Labor (“DOL”) issued a much-anticipated proposed regulation (“Proposed Rule”) that would facilitate the inclusion of alternative assets within designative investment alternatives (“DIAs”) offered under participant-directed defined contribution plans such as 401(k) plans (“DC Plans”)....By: Proskauer - Employee Benefits & Executive

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Reading Between the Lines: The New SEC SOX Enforcement Group

The recent job postings by the Securities and Exchange Commission (SEC) on USAJOBS.gov — the U.S. government’s job board — has caused speculation regarding the future of the Public Company Accounting Oversight Board’s (PCAOB) Division of Enforcement and Investigations. Specifically, on March 16, 2026, the SEC posted managerial positions for both a supervisory general attorney and a supervisory trial counsel in the newly formed SOX Group (the Group) within the SEC’s Division of Enforcement....By: Foley & Lardner LLP

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SEC–CFTC 2026 Harmonization MOU

The Securities and Exchange Commission (SEC) and the Commodity Futures Trading Commission (CFTC) have entered into a new Memorandum of Understanding (MOU) that sets out how they plan to coordinate in areas of overlapping jurisdiction. Signed March 11, 2026, the MOU sits alongside a broader CFTC–SEC harmonization effort underscoring a more integrated approach to supervising shared markets....By: Foley & Lardner LLP

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Key Insights from the Division of Enforcement’s Panel at the SEC Speaks 2026 Conference

At this year’s Securities and Exchange Commission (SEC) Speaks conference on March 20, 2026, leaders from the Division of Enforcement (the Division) outlined their priorities and approaches to investigations, charging decisions, and corporate cooperation. The overarching theme was a continued shift from pure metrics, such as case counts or penalties, to qualitative assessments focused on investor protection and the integrity of the markets under Chairman Atkins’s leadership......By: Foley & Lardner LLP

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SEC Speaks 2026: SEC Leadership Signals a Lighter Regulatory Touch, but Offers Few Enforcement Details

At this year’s Securities and Exchange Commission (SEC or the Commission) Speaks, Chairman Paul Atkins and Commissioners Mark Uyeda and Hester Peirce delivered a broadly consistent message about the Commission’s direction: to modernize outdated rules, reduce unnecessary compliance burdens, provide greater regulatory clarity, and take a more restrained approach to agency authority. Across their remarks, SEC leadership emphasized clearer rulemaking over “regulation by enforcement,” a renewed focus...By: Foley & Lardner LLP

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Proposed Department of Labor Regulation Would Expand the Availability of Alternative Investments Within 401(k) Plans

On March 30, 2026, the Department of Labor (“DOL”) issued a proposed regulation titled “Fiduciary Duties in Selecting Designated Investment Alternatives” (the “Proposal”). The Proposal: (1) includes safe harbors for fiduciaries when selecting investment options to include in a participant-directed plan’s (“401(k) Plan”) investment menu; (2) provides clarification regarding the prudent selection of investment options offered under a 401(k) Plan; and (3) seeks to alleviate regulatory burdens and...By: Seward & Kissel LLP

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Hospitality OpCo Investments: Opportunities and Challenges

At this year’s Americas Lodging Investment Summit (ALIS) in Los Angeles, the sun was out, the discussions outside of the Starbucks at the JW Marriott were upbeat, and everyone was looking for their next deal....By: Goodwin

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Mortgage Origination and Servicing - March 2026

Welcome to the second chapter of our annual report, Consumer Financial Services: 2025 Year in Review. In 2025, the mortgage market saw federal enforcement efforts decrease as the Consumer Financial Protection Bureau (CFPB) shifted priorities away from subject areas like fair lending....By: Goodwin

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Student Lending - March 2026

Welcome to the 10th chapter of our annual report, Consumer Financial Services: 2025 Year in Review. Following a slowdown in federal oversight of the student lending environment in 2025, the compliance landscape has become quieter and more fragmented for lenders and servicers....By: Goodwin

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Credit Reporting - March 2026

Welcome to the ninth chapter of our annual report, Consumer Financial Services: 2025 Year in Review. In 2025, Goodwin tracked four public enforcement actions related to credit reporting requirements or credit monitoring or repair services....By: Goodwin

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Payday and Small-Dollar Lending - March 2026

Welcome to the eighth chapter of our annual report, Consumer Financial Services: 2025 Year in Review. In 2025, the Consumer Financial Protection Bureau (CFPB) reduced its scrutiny of small-dollar lenders by publicly announcing that it “will not prioritize enforcement or supervision actions” on its small-dollar lending rule, which took effect in March, and signaling that it may narrow the rule via rulemaking...By: Goodwin

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Cards, Payments, and Consumer Banking - March 2026

Welcome to the sixth chapter of our annual report, Consumer Financial Services: 2025 Year in Review. We expect financial institutions will continue to navigate a fractured regulatory landscape....By: Goodwin

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