Release No. |
Date |
Details |
Second Quarter |
2009-104 |
May 5, 2009 |
SEC Charges Operators of Reserve Primary Fund With Fraud
|
2009-103 |
May 5, 2009 |
SEC Charges Attorneys for Fraudulent Legal Opinions Used by Promoters in Pump-and-Dump Scheme
|
2009-102 |
May 5, 2009 |
SEC Charges Hedge Fund Manager and Bond Salesman in First Insider Trading Case Involving Credit Default Swaps
|
2009-101 |
May 1, 2009 |
SEC Announces Agenda and Panelists For Roundtable on Short Selling
|
2009-100 |
Apr. 30, 2009 |
Fee Rate Advisory #1 for Fiscal Year 2010
|
2009-99 |
Apr. 30, 2009 |
SEC Charges Wall Street Investment Banker and Seven Others in Widespread Insider Trading Scheme
|
2009-98 |
Apr. 30, 2009 |
SEC Announces New Initiative to Identify and Assess Risks in Financial Markets
|
2009-97 |
Apr. 30, 2009 |
SEC Charges Investment Management Firm and Principal in Kickback Scheme Involving N.Y. Pension Fund
|
2009-96 |
Apr. 29, 2009 |
SEC Halts Beverly Hills Hedge Fund Fraud
|
2009-95 |
Apr. 29, 2009 |
Office of the Chief Accountant Selects Four Professional Accounting Fellows
|
2009-94 |
Apr. 28, 2009 |
SEC Announces CCOutreach Regional Seminars for Adviser and Fund Chief Compliance Officers
|
2009-93 |
Apr. 28, 2009 |
SEC Charges Oklahoma-Based Attorney With Insider Trading
|
2009-92 |
Apr. 28, 2009 |
SEC Charges Former American Home Mortgage Executives for Misleading Investors About Company's Financial Condition
|
2009-91 |
Apr. 27, 2009 |
James Brigagliano, Daniel Gallagher Named Co-Acting Directors of SEC Division of Trading and Markets
|
2009-90 |
Apr. 27, 2009 |
SEC Charges Connecticut-Based Hedge Fund in Multi-Million Dollar Fraud
|
2009-89 |
Apr. 27, 2009 |
SEC Freezes Assets of Financier Danny Pang for Misrepresenting Investments and Forging Documents to Investors
|
2009-88 |
Apr. 24, 2009 |
SEC to Hold Roundtable on May 5 to Examine Short Sale Price Test and Circuit Breaker Restrictions
|
2009-87 |
Apr. 23, 2009 |
SEC Obtains Asset Freeze of Florida-Based Investment Adviser Defrauding Investors
|
2009-86 |
Apr. 22, 2009 |
SEC Charges Investment Adviser That Recommended Bayou Hedge Funds to Clients
|
2009-85 |
Apr. 20, 2009 |
SEC Halts Multi-Million Dollar Fraud Conducted by Philadelphia-Area Investment Adviser
|
2009-84 |
Apr. 15, 2009 |
Commission Reopens Comment Period On Proposal For Model Privacy Form Under Gramm-Leach-Bliley Act
|
2009-83 |
Apr. 15, 2009 |
SEC Charges Former State Political Party Leader and Hedge Fund Manager in Kickback Scheme Involving N.Y. Pension Fund
|
2009-82 |
Apr. 14, 2009 |
Office of the Chief Accountant and Division of Corporation Finance Release Staff Accounting Bulletin 111 |
2009-81 |
Apr. 14, 2009 |
SEC Announces 100 Percent Return of Funds to Defrauded Concorde America and Absolute Health Investors
|
2009-80 |
Apr. 14, 2009 |
SEC Charges Seven Church Leaders in Fraudulent Investment Scheme That Targeted Parishioners
|
2009-79 |
Apr. 13, 2009 |
SEC Charges California Promoter for Operating Ponzi Scheme Targeting Hispanic-American Community
|
2009-78 |
Apr. 13, 2009 |
Meredith Cross Named New Director of SEC Division of Corporation Finance
|
2009-77 |
Apr. 9, 2009 |
SEC Charges Georgia Attorney for Conducting Multi-Million Dollar Ponzi Scheme
|
2009-76 |
Apr. 8, 2009 |
SEC Seeks Comments on Short Sale Price Test and Circuit Breaker Restrictions
|
2009-75 |
Apr. 8, 2009 |
SEC Charges Colorado Advisor for Conducting Multi-Million Dollar Ponzi Scheme
|
2009-74 |
Apr. 6, 2009 |
SEC Obtains Asset Freeze In Ponzi Scheme Targeting Chinese-American Community in Dallas Area
|
2009-73 |
Apr. 1, 2009 |
SEC Halts Multi-Million Dollar Ponzi Scheme Operated By Long Island Investment Adviser
|
2009-72 |
Apr. 1, 2009 |
SEC Charges Take-Two for Stock Options Backdating Scheme
|
First Quarter |
2009-71 |
Mar. 31, 2009 |
SEC Charges Seattle-Area Firm in Multi-Million Dollar Scam Targeting Religious Community and Charitable Investors
|
2009-70 |
Mar. 31, 2009 |
Erik R. Sirri, Director of Division of Trading and Markets, to Leave SEC
|
2009-69 |
Mar. 27, 2009 |
SEC Announces Distribution of $60 Million Fair Fund to MBIA Investors Harmed by Accounting Fraud
|
2009-68 |
Mar. 26, 2009 |
SEC Halts $68 Million Ponzi Scheme Involving Caribbean-Based Bank and Swiss Affiliate
|
2009-67 |
Mar. 25, 2009 |
SEC Freezes Assets of Chicago-Area Investment Adviser for Defrauding Clients
|
2009-66 |
Mar. 25, 2009 |
SEC Awarded LEED® Gold Environmental Certification
|
2009-65 |
Mar. 24, 2009 |
SEC Announces Panelists and Agenda for Credit Rating Agencies Roundtable
|
2009-64 |
Mar. 24, 2009 |
Didem Nisanci Named SEC Chief of Staff
|
2009-63 |
Mar. 23, 2009 |
SEC Obtains Emergency Asset Freeze to Halt Ongoing Fraud by California Company
|
2009-62 |
Mar. 19, 2009 |
SEC Charges Former N.Y. State Official and Top Political Advisor for Defrauding New York's Retirement Fund in Multi-Million Dollar Kickback Scheme
|
2009-61 |
Mar. 18, 2009 |
Two Texas Individuals Settle SEC Charges in Spam Scam Case
|
2009-60 |
Mar. 18, 2009 |
SEC Charges Madoff Auditors With Fraud
|
2009-59 |
Mar. 16, 2009 |
SEC Names Julie Zelman Davis as Deputy Director of Legislative Affairs |
2009-58 |
Mar. 13, 2009 |
SEC Approves Exemptions Allowing Chicago Mercantile Exchange to Operate as Central Counterparty for Credit Default Swaps |
2009-57 |
Mar. 12, 2009 |
SEC Charges Quest Software and Three Executives for Stock Option Backdating |
2009-56 |
Mar. 11, 2009 |
Fee Rate Advisory #5 for Fiscal Year 2009 |
2009-55 |
Mar. 11, 2009 |
SEC Charges Two Northern California Residents in $40 Million Ponzi Scheme |
2009-54 |
Mar. 11, 2009 |
SEC Charges Merrill Lynch For Failure to Protect Customer Order Information on "Squawk Boxes" |
2009-53 |
Mar. 10, 2009 |
SEC, FINRA Announce 2009 CCOutreach BD Regional Seminars |
2009-52 |
Mar. 9, 2009 |
Senior Supervisors Group Issues Report on Management of Recent Credit Default Swap Credit Events |
2009-51 |
Mar. 9, 2009 |
SEC Charges Investment Adviser For Inventing a Billion-Dollar Client to Lure New Investors |
2009-50 |
Mar. 6, 2009 |
Fee Rate Advisory #4 for Fiscal Year 2009 |
2009-49 |
Mar. 6, 2009 |
SEC Approves Exemptions Allowing ICE US Trust LLC to Operate as Central Counterparty for Credit Default Swaps |
2009-48 |
Mar. 6, 2009 |
Mark Cahn Named Deputy General Counsel at SEC |
2009-47 |
Mar. 6, 2009 |
Jeffrey Singdahlsen Named SEC Associate General Counsel |
2009-46 |
Mar. 6, 2009 |
SEC Roundtable to Examine Oversight of Credit Rating Agencies |
2009-45 |
Mar. 5, 2009 |
SEC Obtains Emergency Asset Freeze to Halt Multi-Million Dollar Real Estate Investment Fraud |
2009-44 |
Mar. 5, 2009 |
SEC Revamping Process for Reviewing Whistleblower Complaints and Enforcement Tips |
2009-43 |
Mar. 4, 2009 |
James Brigagliano Named Deputy Director in SEC Division of Trading and Markets |
2009-42 |
Mar. 4, 2009 |
SEC Charges 14 Specialist Firms for Improper Proprietary Trading |
2009-41 |
Mar. 4, 2009 |
Fee Rate Advisory #3 for Fiscal Year 2009 |
2009-40 |
Mar. 3, 2009 |
SEC Charges Los Angeles-Based Investment Adviser for Taking Warrants Paid for by Clients |
2009-39 |
Mar. 2, 2009 |
SEC Warns Investors and Financial Firms of Government Impersonators |
2009-38 |
Mar. 2, 2009 |
SEC Charges Operators of Multi-Billion Dollar Real Estate Enterprise With Fraud |
2009-37 |
Feb. 26, 2009 |
Statement From Chairman Schapiro on Proposed Budget for SEC |
2009-36 |
Feb. 25, 2009 |
SEC Obtains Emergency Asset Freeze to Halt $30 Million "Fund of Funds" Investment Scheme |
2009-35 |
Feb. 25, 2009 |
SEC Charges Two New York Residents For Misappropriating More Than $500 Million in Investment Scheme |
2009-34 |
Feb. 25, 2009 |
SEC Charges Unregistered Hedge Fund with Fraud |
2009-33 |
Feb. 24, 2009 |
Michael Conley Named SEC Deputy Solicitor |
2009-32 |
Feb. 19, 2009 |
SEC Statement on the Case Against R. Allen Stanford |
2009-31 |
Feb. 19, 2009 |
Robert Khuzami Named SEC Director of Enforcement |
2009-30 |
Feb. 19, 2009 |
SEC Halts Ponzi Scheme Targeting Deaf Investors |
2009-29 |
Feb. 18, 2009 |
UBS Agrees to Pay $200 Million to Settle SEC Charges for Violating Registration Requirements |
2009-28 |
Feb. 18, 2009 |
Acting General Counsel Andrew Vollmer to Leave SEC |
2009-27 |
Feb. 17, 2009 |
SEC Charges Research in Motion and Four Senior Executives With Stock Option Backdating |
2009-26 |
Feb. 17, 2009 |
SEC Charges R. Allen Stanford, Stanford International Bank for Multi-Billion Dollar Investment Scheme |
2009-25 |
Feb. 17, 2009 |
Kayla J. Gillan Named Senior Advisor at SEC |
2009-24 |
Feb. 12, 2009 |
SEC Charges Canadian Citizen for Market Manipulation Schemes |
2009-23 |
Feb. 11, 2009 |
SEC Charges KBR and Halliburton for FCPA Violations |
2009-22 |
Feb. 9, 2009 |
Enforcement Director Linda Chatman Thomsen to Leave SEC |
2009-21 |
Feb. 6, 2009 |
SEC Announces Start of $321 Million Fair Fund Distribution to Investors Harmed by Alliance Capital Market Timing |
2009-20 |
Feb. 6, 2009 |
David M. Becker Named SEC General Counsel and Senior Policy Director |
2009-19 |
Feb. 5, 2009 |
Robert Malhotra Named Senior Advisor in SEC Office of the Chief Accountant |
2009-18 |
Feb. 5, 2009 |
SEC Charges Wall Street Professionals and Others in Insider Trading Ring |
2009-17 |
Feb. 5, 2009 |
SEC Finalizes ARS Settlement to Provide $7 Billion in Liquidity to Wachovia Investors |
2009-16 |
Feb. 4, 2009 |
SEC Halts Massive International Boiler Room Scheme |
2009-15 |
Feb. 4, 2009 |
SEC Freezes Assets of Private Fund Manager Misappropriating Investor Funds |
2009-14 |
Feb. 2, 2009 |
Robert Colby, Deputy Director of Trading and Markets Division, to Leave SEC After 27 Years of Service |
2009-13 |
Jan. 30, 2009 |
SEC Charges Merrill Lynch With Misleading Pension Consulting Clients |
2009-12 |
Jan. 28, 2009 |
SEC Charges Nashville-Based Financial Planner With Fraud Involving Purported Investments in TARP |
2009-11 |
Jan. 27, 2009 |
Mary Schapiro Sworn In as Chairman of SEC |
2009-10 |
Jan. 21, 2009 |
SEC Charges Missing Trader for Defrauding Investors at Sarasota-Based Hedge Funds |
2009-9 |
Jan. 21, 2009 |
Andrew Vollmer Named Acting General Counsel of SEC |
2009-8 |
Jan. 19, 2009 |
Peter Uhlmann to Step Down as SEC Chief of Staff |
2009-7 |
Jan. 16, 2009 |
SEC Staff Extends Sarbanes-Oxley Survey to January 31 |
2009-6 |
Jan. 15, 2009 |
SEC Charges CRE Capital Corporation and James G. Ossie With Conducting Multi-Million Dollar Ponzi Scheme |
2009-5 |
Jan. 8, 2009 |
SEC Charges Joseph S. Forte for Conducting Multi-Million Dollar Ponzi Scheme |
2009-4 |
Jan. 6, 2009 |
James L. Kroeker Named Acting Chief Accountant |
2009-3 |
Jan. 5, 2009 |
Shelley Parratt Named Acting Director of SEC's Division of Corporation Finance |
2009-2 |
Jan. 5, 2009 |
Alta G. Rodriguez Named SEC's Acting EEO Director |
2009-1 |
Jan. 5, 2009 |
Barbara Lorenzen Named Associate Regional Director for Examinations in SEC’s Chicago Regional Office |