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The Government Finance Officers Associations executive board has approved a series of new and revised best practices that make recommendations to issuers about refundings, investing their public funds, and procuring financial services.
By Jack CaseyFebruary 16 - Washington
Former Securities and Exchange Commission chair Mary Jo White, who oversaw multiple first-of-their-kind enforcement actions in the municipal market, rejoined Debevoise & Plimpton as the firm's senior chair on Wednesday.
By Jack CaseyFebruary 15 -
Municipal market analysts are concerned that Municipal Securities Rulemaking Board data shows more issuers are giving themselves 270 days after the end of their fiscal years to file annual financial information.
By Jack CaseyFebruary 14 -
House Financial Services Committee Republicans have floated a revised version of a their Financial CHOICE Act that would require the Securities and Exchange Commission to review municipal market and other self-regulatory organizations' inefficiencies as well as reform its enforcement process
By Jack CaseyFebruary 10 -
Mike Sudsina, managing partner of Vermillion, Ohio-based Sudsina & Associates, has replaced Larry Kidwell as president of the National Association of Municipal Advisors.
By Jack CaseyFebruary 9 -
The House Financial Services Committee intends to review municipal bond regulators and other aspects of the capital markets with an eye toward rolling back certain programs, according to an oversight plan from the committee.
By Jack CaseyFebruary 8 -
Market participants and others signed up for email alerts from the Municipal Securities Rulemaking Boards EMMA website can now specify the types of continuing disclosure filings they would like to be notified of related to the securities they choose to follow.
By Jack CaseyFebruary 8 -
Long-term municipal bond issuance is expected to fall to $417.5 billion this year from $423.8 billion last year, according to a survey released by the Securities Industry and Financial Markets Association on Wednesday.
By Jack CaseyFebruary 8 -
Julie Egan, senior vice president and portfolio manager with Community Capital Management, is the new chair for the National Federation of Municipal Analysts, the group announced Tuesday.
By Jack CaseyFebruary 7 -
Citigroup Global Markets, Inc. has agreed to pay a $250,000 fine after the Financial Industry Regulatory Authority found rule violations including the failure to report accurate interest rate reset information for 251,507 variable rate demand obligation securities.
By Jack CaseyFebruary 6 -
A Trump executive order to pull back rules and the costs they impose encourages independent agencies like the Securities and Exchange Commission to review their rules even though the order does not apply to them, according to guidance issued Monday.
By Jack CaseyFebruary 6 -
President Trumps executive order to scale back the Dodd-Frank Act opens the door for regulatory reform that could touch on municipal securities, although any substantive changes to the act would have to be left to Congress.
By Jack CaseyFebruary 3 -
Phoenix-based Lawson Financial Corp. had its Financial Industry Regulatory Authority membership revoked and its CEO and president was barred from the industry after FINRA found they fraudulently sold millions of dollars of municipal revenue bonds.
By Jack CaseyFebruary 2 -
Two Puerto Rico residents are firing back at UBS, saying the firm's challenge in federal court of an $18 million Financial Industry Regulatory Authority arbitration award over losses in Puerto Rico bonds is "a hopeless and baseless attempt at an unwarranted do over."
By Jack CaseyFebruary 1 -
Market participants interested in serving on the board of directors for the Municipal Securities Rulemaking Board have sixteen more days to apply for a term that would start Oct. 1 and last four years.
By Jack CaseyFebruary 1 -
A federal judge has denied former Miami budget director Michael Boudreaux's motion for a new trial after a jury found him guilty of securities fraud for misleading municipal bond investors, but he is still exploring options for appeal, his lawyer said.
By Jack CaseyJanuary 31 -
Marc Wyatt, director of the Securities and Exchange Commissions Office of Compliance Inspections and Examinations, plans to leave the SEC next month to return to the private sector, the commission announced on Monday.
By Jack CaseyJanuary 30 -
The Municipal Securities Rulemaking Board will propose to codify its long-time regulatory interpretation that dealers are required to apply for CUSIP numbers when conducting private placements.
By Jack CaseyJanuary 30 -
The Securities and Exchange Commission and three defendants allegedly involved in a pay-to-play scheme to steer billions of dollars of business from a New York pension fund to certain firms have agreed to ask a federal court to stay the civil case resulting from the charges while two criminal cases moves forward.
By Jack CaseyJanuary 27 -
The Securities Exchange Commissions regulatory and enforcement workload may be slowed or stalled now that it is down to only two commissioners, one Democrat and one Republican, said observers.
By Jack CaseyJanuary 27













