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News Articles


Litigation Partner Bill Kelleher Interviewed About New Whistleblower Rules and Insider Trading Laws

6.12.12
The Financial Fraud Law blog recently published an interview, “Whistleblower Chiefs Discuss Reporting of Corporate Fraud,” with White-Collar Defense and Corporate Compliance Practice Group partner William J. Kelleher III about the new whistleblower rules and offices of the Securities and Exchange Commission and the Commodity Futures Trading Commission stemming from the Dodd-Frank Wall Street Reform and Consumer Protection Act.

The Financial Fraud Law blog also ran another interview with Mr. Kelleher, “What Will The STOCK Act Accomplish?,” about insider trading, the Stop Trading on Congressional Knowledge Act and federal enforcement of the insider trading laws.

Mr. Kelleher serves on the Board of Editors for the Financial Fraud Law Report. The Financial Fraud Law blog analyzes developments in the law relating to financial fraud, including regulatory, financial, and criminal matters for senior executives and in-house counsel at financial services firms, accounting and other professional advisers, in-house corporate counsel and executives at corporations, and investment advisers and managers.
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