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SEC: ESG Exams, Enforcement and Regulations are Coming


Monday, March 8, 2021
Environmental, social and governance (ESG) matters will increasingly be a priority for the Securities and Exchange Commission (SEC) as evidenced by:
the SEC s announcements last week of the formation of a Climate and ESG task force under the purview of the SEC s Division of Enforcement;
the identification of ESG issues as a 2021 examination priority by the SEC s Division of Examinations on March 3; and
the March 2 Senate confirmation hearing testimony of Gary Gensler, President Joe Biden s nominee to lead the SEC, where Mr. Gensler said that investors increasingly want to see climate risk disclosures.
This follows last month s instruction by Acting SEC Chair Allison Herren Lee that staff of the SEC s Division of Corporation Finance (CorpFin) should augment their focus on climate-related disclosure in public company filings. ....

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The SEC Is Cyber-Hunting for ESG-Related Misconduct


Monday, March 8, 2021
On March 4, 2021, the Securities and Exchange Commission announced the formation of a Climate and ESG Task Force in the Division of Enforcement (the “Task Force”).  The Task Force will be aimed at detecting ESG-related misconduct so that investors can fully consider these issues in their investment decisions.
Short for “environmental, social and corporate governance,” ESG has become an increasingly hot topic in recent years.  As the threat of climate change has risen, more and more investors have begun to factor sustainability into their investment decisions.  Similarly, investors today are making a conscious effort to invest in companies whose social policies, such as racial equity and community relations, align with their own values.  The creation of this task force signals that the SEC views ESG as a critical piece in the investment decision-making puzzle and that additional safeguards are needed to adequately protect investor ....

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Changes to SEC Marketing Rule Sets Effective and Compliance Dates

On March 5, 2021, the SEC release adopting broad changes to rule 206(4)-1 under the U.S. Investment Advisers Act of 1940 was published in the federal register. Commencing November 4, 2022, all advertisements and client solicitations by registered advisers must comply with the revised rule. ....

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$1.5 Million for Whistleblower Assisting in Fraud Investigation


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SEC's New Task Force Confirms Their Commitment to ESG Focus


Monday, March 8, 2021
A series of recent announcements by the SEC underscores the agency’s commitment and allocation of resources to its heightened focus on environmental, social and governance (“ESG”) issues.  Significantly, on March 4, 2021, the SEC announced the creation of a Climate and ESG Task Force in the Division of Enforcement.
1   As discussed in a prior alert, companies should be prepared for greater scrutiny of their disclosures concerning ESG, as well as related litigation, and these recent developments reinforce that analysis.        
The Climate and ESG Task Force, led by Kelly L. Gibson, the SEC’s Acting Deputy Director of Enforcement, will focus on identifying “material gaps or misstatements in issuers’ disclosures of climate risks under existing rules,” examining “disclosure and compliance issues related to investment advisers’ and funds’ ESG strategies,” and evaluating whistleblower complaints related to ESG is ....

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