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Compliance & Legal
Legal Research
Court opinions, regulatory guidance, and enforcement actions. AI-summarized.
Financial Compliance
SEC, OCC, FDIC, Fed, FINRA, CFPB, FASB, and state banking regulators. One feed.
Insurance Compliance
State commissioner bulletins, NAIC model laws, and DOI enforcement actions.
Environmental Compliance
EPA enforcement, state environmental agencies, PFAS regulatory updates.
Data Privacy
State AG privacy enforcement, FTC actions, CPPA rulemaking, and HIPAA enforcement.
Tax Compliance
IRS guidance changes and state tax department bulletins.
AML Compliance
FinCEN, OCC, FDIC, Fed, FATF, and banking regulator enforcement.
Labor & Employment
NLRB decisions, EEOC guidance, DOL wage updates, and 50-state labor law changes.
Immigration Law
USCIS policy changes, visa bulletin updates, CBP processing changes.
Industry
Pharma & Life Sciences
FDA warning letters, drug approvals, ICH guidelines, EMA updates, and DEA scheduling.
Energy & Utilities
FERC orders, state PUC decisions, and energy regulatory changes.
Cybersecurity
CISA KEV catalog, ICS-CERT, NSA advisories, NIST CSF, and FedRAMP updates.
Healthcare Compliance
CMS transmittals, OIG work plan, HIPAA enforcement, and Medicaid updates.
Trade & Procurement
Recent changes
Ashley Alder Appointed New PSR Board Chair
Ashley Alder has been appointed as the new Chair of the Payment Systems Regulator (PSR) Board, effective January 26, 2026. This appointment coincides with the planned consolidation of the PSR into the Financial Conduct Authority (FCA), where Alder also serves as Chair.
PSR Fines Bank of Ireland UK £3.7m for Confirmation of Payee Failure
The Payment Systems Regulator (PSR) has fined Bank of Ireland UK £3.7m for failing to implement the Confirmation of Payee system by the required deadline. This failure left over 1.14 million new payees and approximately £6.9 billion in payments unprotected against fraud.
PSR Consults on Card Fee Transparency and Governance Standards
The UK Payment Systems Regulator (PSR) is consulting on new standards to increase transparency and governance in card scheme and processing fees. These measures aim to provide businesses with clearer pricing information and ensure fee-setting is evidence-based, following a market review that found a lack of competition and clarity.
High Court Upholds PSR Powers to Cap Card Fees
The UK High Court has upheld the Payment Systems Regulator's (PSR) powers to cap cross-border interchange fees, following a legal challenge. This decision allows the PSR to proceed with its analysis and potential implementation of fee caps, aiming to reduce costs for UK businesses.
Public Responses to Insurer Recovery and Resolution Planning Consultation
The Financial Stability Board (FSB) has published public responses to its consultation on the scope of insurers subject to recovery and resolution planning requirements. The consultation period closed on February 6, 2026, and the FSB expects to publish final guidance in Q2-Q3 of 2026.
FSB Report on Repo Market Vulnerabilities
The Financial Stability Board (FSB) has released a report warning of vulnerabilities in government bond-backed repo markets. The report highlights potential contagion channels and emphasizes the need to preserve market functionality during stress periods, offering policy implications for regulators.
FSB 2026 Work Programme: Financial Stability and Systemic Risks
The Financial Stability Board (FSB) has published its work programme for 2026, outlining key priorities to promote global financial stability. The programme focuses on addressing systemic risks through vulnerability assessments, nonbank financial intermediation, cross-border payments, digital innovation, and operational resilience.
FSB Report on Strengthening Global Bank Resolution Frameworks
The Financial Stability Board (FSB) released its 2025 Resolution Report, detailing progress in strengthening global resolution frameworks for banks, insurers, and financial market infrastructures. The report highlights achievements in 2025 and outlines future work to enhance crisis preparedness and operationalize resolution tools.
FSB Peer Review: Public Sector Backstop Funding Mechanisms
The Financial Stability Board (FSB) is conducting a thematic peer review on public sector backstop funding mechanisms and has issued a summary of terms of reference. The FSB is seeking feedback from financial institutions and other stakeholders by March 31, 2026, to inform its review of implementation progress.
SEC Risk Alert on Investment Company Core Areas Review
The SEC's Division of Examinations has published a Risk Alert detailing typical document requests and examination observations for registered investment companies. The alert aims to help funds and their advisers enhance their compliance programs and practices by highlighting key review areas such as compliance programs, disclosures, and governance.
SEC Municipal Advisors Risk Alert and Examination Guidance
The SEC's Division of Examinations has published a Risk Alert to assist municipal advisors in understanding the examination process. The alert details potential areas of focus, selection criteria for examinations, and initial document requests.
SEC Division of Examinations Announces 2026 Priorities
The SEC's Division of Examinations has announced its 2026 examination priorities, focusing on areas of heightened risk to investors and compliance with new rules like amendments to Regulation S-P. The priorities aim to provide transparency and encourage firms to strengthen their compliance programs.
SEC Risk Alert on Advisers Act Marketing Rule Compliance
The SEC's Division of Examinations issued a Risk Alert highlighting observations regarding investment advisers' compliance with the Marketing Rule. The alert focuses on disclosure requirements, oversight practices for testimonials and endorsements, and due diligence for third-party ratings.
BIS General Manager Statement on Villeroy de Galhau Departure
The Bank for International Settlements (BIS) issued a statement from General Manager Pablo Hernández de Cos acknowledging the departure of François Villeroy de Galhau, Governor of the Bank of France, from his role as Chair of the BIS Board of Directors. The BIS will begin the process of appointing a new Chair.
Basel Committee: Governors welcome Basel III progress, discuss cryptoassets and G-SIBs
The Group of Central Bank Governors and Heads of Supervision (GHOS) met on March 9, 2026, to review progress on Basel III implementation, with approximately 75% of member jurisdictions having implemented or planning to implement the standards. The GHOS also endorsed targeted reviews of prudential standards for cryptoasset exposures and the assessment methodology for global systemically important banks (G-SIBs).
Basel Committee Publishes Synthetic Risk Transfer Analysis Report
The Basel Committee on Banking Supervision has published a report analyzing synthetic risk transfer (SRT) transactions. The report notes that while SRTs appear more prudently structured than pre-GFC transactions, risks associated with their growing use merit continued supervisory monitoring.
Basel Committee Consults on Consolidated Banking Guidelines
The Basel Committee on Banking Supervision has published a consultation on a consolidated version of its banking guidelines and sound practices. The aim is to improve accessibility and streamline guidance materials, reducing their volume by approximately 75%. Comments are requested by June 26, 2026.
Federal Reserve Issues Consent Order Against Former Regions Bank Employee
The Federal Reserve Board has issued a consent prohibition order against Nicole M. Ramsey, a former employee of Regions Bank. The action stems from the misappropriation of customer funds. This enforcement action signifies the Federal Reserve's commitment to upholding standards of conduct within the banking sector.
Federal Reserve Consent Order with Jamal Hillman
The Federal Reserve Board has issued a consent prohibition order against Jamal Hillman, a former employee of First Financial Bank, for misappropriation of customer funds. This enforcement action prohibits Mr. Hillman from participating in the banking industry.
Federal Reserve Board Enforcement Action Against Former PrimeLending Employee
The Federal Reserve Board has issued a consent prohibition order against Aquana Raffington, a former employee of PrimeLending. The action addresses conflicts of interest and fraud, with no monetary penalty imposed.
Federal Reserve Enforcement Actions for Embezzlement
The Federal Reserve Board announced enforcement actions against two former bank employees for embezzlement and misappropriation of funds. Jacob Hilton, formerly of United Bank, and Klaus Koberstein, formerly of East Cambridge Savings Bank, have each received consent prohibition orders.
Jericho Share Ceases NY Operations for Selling Unlicensed Health Insurance
The New York State Department of Financial Services announced that Jericho Share has agreed to cease all operations in New York for selling unlicensed health insurance plans. This action follows an investigation into the company's activities.
New York Designates Butternut Valley Banking Development District
New York State Comptroller DiNapoli and the Department of Financial Services (DFS) have designated the Butternut Valley as a Banking Development District. This designation aims to support community banking and economic development in the region.
Statement on FY 2027 Executive Budget Hearing
New York State Department of Financial Services Acting Superintendent Kaitlin Asrow delivered a statement at a joint legislative public hearing on the FY 2027 Executive Budget, focusing on economic development. The statement outlines the DFS's priorities and budget requests for the upcoming fiscal year.
New York Behavioral Health Treatment Access Campaign Launched
Governor Hochul has launched a public awareness campaign to educate New Yorkers on accessing behavioral health treatment. The campaign aims to inform individuals about their rights and available resources for mental health and substance use disorder services.
New York Regulation for Buy Now, Pay Later Loans
New York Governor Kathy Hochul announced a new regulation establishing comprehensive consumer protections for Buy Now, Pay Later (BNPL) loans. This regulation aims to provide a framework for BNPL services operating within the state, ensuring greater transparency and fairness for consumers.
PCAOB Names William Ryan Acting Director of Enforcement Investigations
The Public Company Accounting Oversight Board (PCAOB) announced William Ryan has been named Acting Director of its Division of Enforcement and Investigations. He succeeds Robert E. Rice, who is retiring. This appointment oversees investigations and enforcement of PCAOB rules and securities regulations.
PCAOB Publishes Expanded Inspection Reports on Three Firms
The PCAOB has published expanded inspection reports for three audit firms: Assure CPA, LLC; Kronick Kalada Berdy & Co, P.C.; and Michael T. Studer CPA P.C. These expansions are due to the firms' failure to adequately address quality control issues within the 12 months following the original inspection reports.
PCAOB Chairman and Board Members Sworn In
The Public Company Accounting Oversight Board (PCAOB) announced that Demetrios (Jim) Logothetis was sworn in as Chairman, and Mark A. Calabria and Steven D. Laughton were sworn in as Board Members on February 10, 2026. The new leadership was appointed by the SEC and will oversee the PCAOB's statutory responsibilities.
PCAOB Sanctions Zwick CPA, Revokes Registration, Imposes $50,000 Penalty
The PCAOB has sanctioned Zwick CPA, PLLC, its owner Jack Zwick, and former audit manager Jeffrey Hoskow for multiple violations of PCAOB rules and standards related to the audit of Genie Energy Ltd. The sanctions include revoking the firm's registration, barring individuals, and imposing a $50,000 penalty.
PCAOB Publishes 15 New Firm Inspection Reports
The Public Company Accounting Oversight Board (PCAOB) has published 15 new inspection reports for audit firms. These reports cover firms in various countries and provide insights into their audit quality. The PCAOB encourages users to visit its Firm Inspection Reports page for more detailed filtering and data access.
NCUA and FDIC Host Webinar on Financial Scams
The NCUA and FDIC are hosting a free webinar on March 12, 2026, to educate credit unions and banks on identifying and combating prevalent financial scams. The webinar will offer practical strategies, financial education resources, and best practices for protecting consumers.
NCUA Proposes Deregulation Changes to Records Preservation Program
The National Credit Union Administration (NCUA) has proposed changes to its Records Preservation Program, aiming to clarify guidance and remove burdensome requirements. The proposals include removing appendices, defining key terms, and allowing electronic record formats, offering greater flexibility to credit unions.
NCUA Releases Q4 2025 Credit Union Performance Data
The National Credit Union Administration (NCUA) has released its fourth quarter 2025 performance data for federally insured credit unions. The report indicates growth in total assets and loans outstanding, alongside an increase in net income for the year 2025.
NCUA Voluntary EGRPRA Review and Deregulation Project
The National Credit Union Administration (NCUA) has initiated a voluntary review of its regulations under the Economic Growth and Regulatory Paperwork Reduction Act (EGRPRA). This review, which is not statutorily required, aims to reduce regulatory burden on credit unions and will inform future regulatory changes. The comment period is open for 90 days.
NCUA Share Insurance Fund Results - Q4 2025
The National Credit Union Administration (NCUA) released the Share Insurance Fund results for the fourth quarter of 2025. The fund reported a net income of $113.8 million and held $24.1 billion in assets. The report also noted a decrease in credit unions with composite CAMELS codes 3, 4, and 5, with no federally insured credit union failures during the quarter.
Bustos v. State - Probation Revocation Appeal
The Wyoming Supreme Court affirmed a district court's decision to revoke Robert James Bustos' probation and impose his underlying prison sentence. The appeal questioned whether Bustos' due process rights were violated due to lack of notice regarding specific probation violations.
Michael Brown v. State - Dismissed Appeal
The Court of Appeals of Georgia dismissed Michael Brown's direct appeal from the denial of his motion for an out-of-time motion for a new trial. The court found it lacked jurisdiction, citing recent legislative changes and prior case law regarding out-of-time appeals.
Wirth Forestry LLC v. Heard County Georgia - Opinion Dismissed
The Court of Appeals of Georgia dismissed the discretionary appeal filed by Wirth Forestry, LLC and Viridi RE Development, LLC against Heard County, Georgia. The dismissal was due to the applicants' failure to comply with interlocutory appeal procedures, as the superior court's order was not considered final.
Michael Paul Alexander v. Dee Ann Alexander - Discretionary Application Denied
The Georgia Court of Appeals has denied a discretionary application in the case of Michael Paul Alexander v. Dee Ann Alexander. The docket number for this case is A26D0367. This denial means the court will not hear the appeal.
Abdirizak Abukar Mire v. Hana Sayid Hussein Sheikh - Divorce Action Appeal Dismissed
The Court of Appeals of Georgia has dismissed the discretionary appeal in the divorce action of Abdirizak Abukar Mire v. Hana Sayid Hussein Sheikh. The court determined that the application for appeal was improvidently granted after further review of the briefs and record.
Newnan Gas & Food, LLC v. A & H Food, Inc. - Discretionary Application Granted
The Court of Appeals of Georgia granted a discretionary application in the case of Newnan Gas & Food, LLC et al v. A & H Food, Inc. The appellant has 10 days from the order date to file a notice of appeal.
Lundy v. Kemp - Wrongful Death Action
The Court of Appeals of Georgia reversed and remanded a wrongful death action concerning a jail inmate's suicide. The court found the trial court erred in allowing defendants to argue discretion regarding a jail policy and in allowing a related special interrogatory to the jury. The case involves claims of negligence against jail officers.
Team Health, LLC v. Cotiviti, Inc. - Case Transferred
The Court of Appeals of Georgia has transferred the case of Team Health, LLC v. Cotiviti, Inc. to the Supreme Court. The case involves a dispute over the enforcement of an arbitration subpoena, with the lower court having granted a motion to quash based on federal preemption arguments.
In the Interest of T. K., Children - Dependency Finding Affirmed
The Court of Appeals of Georgia affirmed a juvenile court's order finding children to be dependent and awarding custody to the Department of Family and Children Services. The mother appealed, alleging insufficient evidence of dependency. The court found the evidence supported the dependency finding.
Delmon Smith v. Ciara Armstrong - Child Custody Appeal
The Court of Appeals of Georgia affirmed a trial court's order denying a petition to modify child custody. The appellant argued the trial court erred in finding him in contempt, crediting the guardian ad litem's opinion, failing to find a material change in circumstances, and awarding attorney fees.
K. B. v. Cobb County School District - Student Discipline Appeal
The Court of Appeals of Georgia vacated and remanded a superior court order concerning the suspension of a student, K. B., by the Cobb County School District. The court will reconsider whether the local board exceeded its statutory authority by suspending the student for off-campus conduct.
Mattis v. Ax Auto, Inc - Emergency Motion Denied
The Court of Appeals of Georgia denied emergency motions for temporary remand and stay filed by appellant Jonathan M. Mattis in the case Mattis v. Ax Auto, Inc. The court issued its order on March 12, 2026.
The APPEAL, INC. v. Oliver - Civil Rights/Access to Execution Procedures
The Court of Appeals of Georgia affirmed a trial court's dismissal of a civil complaint filed by The Appeal, Inc. against Georgia Department of Corrections officials. The news organization sought greater media access to lethal injection procedures, but the court found TAI lacked standing to pursue the claims.
Heather Brown v. Barbara Schmitt - Court Opinion
The Court of Appeals of Georgia reviewed a fee award in Heather Brown v. Barbara Schmitt. The court affirmed the denial of certain attorney fees but reversed the award of others, finding that the conduct did not meet the legal standard for sanctionable conduct under OCGA § 9-15-14(b).
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