News & Insights
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Explore our comprehensive collection of news and in-depth insights spanning practice areas, industries, and regions.
Client Alert March 3, 2026
Seller Beware: SEC Enforcement Action Highlights Challenges of Principal Transaction Pricing in Periods of Market Dislocation
The SEC enforcement action highlights the agency’s continuing scrutiny of valuation practices and disclosures by private fund sponsors of illiquid …
Client Alert February 27, 2026
The CFTC Advises Prediction Market Users: Insider Information Is Not Fair Game
The CFTC re-affirms its intent to police insider trading on registered prediction markets. With prediction markets rapidly growing, the Commodity …
Client Alert February 25, 2026
SEC’s Division of Enforcement Updates Its Enforcement Manual for First Time Since 2017
Notable updates go beyond procedural changes previously announced by Chairman Paul Atkins and Enforcement Director Margaret Ryan. Although updates had …
Client Alert February 13, 2026
SEC Enforcement Director’s First Public Remarks Highlight Process, Fraud, and Compliance Failures
In our experience, after a long transition, changes within the Division of Enforcement are taking shape.
Client Alert February 4, 2026
Securities Enforcement 2025 Year-End Update
The SEC’s 2025 enforcement agenda reflected sweeping changes in leadership, priorities, and personnel, yielding dismissals, process reforms, and a new …
State Attorneys General (AG) Task Force
State attorneys general are increasingly pursuing high risk investigations and enforcement actions in every major U.S. industry. Our deep and wide experience with state AGs arms companies to aggressively defend and defeat these matters.
Client Alert January 22, 2026
Year in Review: Key Legal Developments 2025
We are pleased to share with you a compendium of Gibson Dunn thought leadership on Key Legal Developments in 2025—a year marked by significant change across the legal landscape.
Client Alert January 20, 2026
New York Attorney General Brings Unusual Insider Trading Action Relating to CEO’s Stock Sales Pursuant to Rule 10b5-1 Plan
This case could potentially be a harbinger of expanded efforts by the NYAG and other state attorneys general to pursue insider trading and other securities fraud cases as the current Administration’s enforcement priorities change.
