SEC To Inspect Firms' Cybersecurity In 2nd Round Of Exams

By Allison Grande (September 16, 2015, 4:35 PM EDT) -- The U.S. Securities and Exchange Commission is planning to step up its scrutiny of brokerage and advisory firms' cybersecurity by launching a second round of examinations that will focus on factors such as access controls, employee training, board involvement and vendor management, according to a notice released on Tuesday....

Law360 is on it, so you are, too.

A Law360 subscription puts you at the center of fast-moving legal issues, trends and developments so you can act with speed and confidence. Over 200 articles are published daily across more than 60 topics, industries, practice areas and jurisdictions.


A Law360 subscription includes features such as

  • Daily newsletters
  • Expert analysis
  • Mobile app
  • Advanced search
  • Judge information
  • Real-time alerts
  • 450K+ searchable archived articles

And more!

Experience Law360 today with a free 7-day trial.

Start Free Trial

Already a subscriber? Click here to login

Hello! I'm Law360's automated support bot.

How can I help you today?

For example, you can type:
  • I forgot my password
  • I took a free trial but didn't get a verification email
  • How do I sign up for a newsletter?
Ask a question!