5 Ways To Update Your Insider Trading Policy

Law360, New York (March 21, 2014, 12:37 AM EDT) -- Several recent high-profile insider trading cases have highlighted the U.S. Securities and Exchange Commission’s continued focus on insider trading enforcement. In fact, according to the SEC, over the last three years it has filed more insider trading enforcement actions than in any other three-year period in its history.

This continued SEC focus serves as a reminder that public companies should periodically re-evaluate their insider trading compliance policies and programs to ensure they are appropriate. Companies’ compliance programs are important not just for the employees and directors...
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