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Across many areas of government, officials face a challenge when it comes to maintaining pace with social media that continues to develop at light speed. This situation is familiar to the regulators of the financial services industry. In the article "Social Media: A Cautionary Tale," Sutherland Partner Steven B. Boehm and Associate William M. Watts, III examine relevant social media positions taken thus far by the U.S. Securities and Exchange Commission and FINRA. It was featured in the January 2012 issue of The Investment Lawyer.
To read the article in full, click here.