Latest changes
FERC filings: solar, complaints, rate filings, NERC rules
FERC filings: solar, complaints, rate filings, NERC rules
White Pine Project revised schedule, energy reliability rules
White Pine Project revised schedule, energy reliability rules
FERC natural gas pipeline rate filings and surcharges notice
FERC natural gas pipeline rate filings and surcharges notice
CDC Performance Measures Project Consultation
The Centers for Disease Control and Prevention (CDC) is seeking public comment on its Performance Measures Project. The comment period for this consultation closes on April 27th.
CDC Meeting Notice and Request for Comment on Immunization Practices
The CDC has issued a notice for a meeting of the Advisory Committee on Immunization Practices (ACIP) to be held on March 18-19, 2026. The notice also includes a request for written comments, which were due by March 12, 2026. The meeting agenda includes discussions on COVID-19 vaccine injuries and Long-COVID.
CDC Notice on Questionnaire Design and Evaluation Research
The Centers for Disease Control and Prevention (CDC) has issued a notice regarding research on questionnaire design and evaluation. This notice outlines the CDC's interest in advancing best practices for developing and assessing survey instruments used in public health research.
CDC Notice on Improving National Health and Nutrition Examination Survey Programs
The Centers for Disease Control and Prevention (CDC) has issued a notice regarding improvements to the National Health and Nutrition Examination Survey (NHANES) programs. This notice outlines updates and enhancements aimed at refining data collection and survey methodologies.
CDC Notice on Cognitive Testing with Comment Period
The CDC has issued a notice regarding cognitive testing, opening a comment period that closes on May 8. This consultation seeks input on proposed changes or new requirements related to cognitive assessment protocols.
Chemical Safety Board Announces Performance Review Board Members
The Chemical Safety and Hazard Investigation Board (CSB) has announced the appointment of members to its Senior Executive Service (SES) Performance Review Board (PRB). This notice fulfills a regulatory requirement to publish the PRB membership, which reviews SES performance ratings and recommends bonuses and pay increases.
CSB Sunshine Act Meetings Scheduled for FY2025
The Chemical Safety and Hazard Investigation Board (CSB) has announced its schedule for four public meetings to be held virtually via Zoom during Fiscal Year 2025. These meetings will review the CSB's progress, mission, and highlight safety products from investigations. The first meeting is scheduled for October 24, 2024.
CSB Sunshine Act Meeting Announcement
The Chemical Safety and Hazard Investigation Board (CSB) announced a public meeting to be held virtually on June 25, 2025. This meeting replaces a previously scheduled one and will cover the CSB's mission progress and safety recommendations.
CSB Public Meetings Scheduled for FY2026
The Chemical Safety and Hazard Investigation Board (CSB) has announced a series of public meetings scheduled virtually via TEAMS for Fiscal Year 2026. These meetings will review the CSB's progress, highlight safety products, and include opportunities for public comment.
Chemical Safety Board Final Rule on Internal Governance
The U.S. Chemical Safety and Hazard Investigation Board (CSB) has issued a final rule amending its internal governance regulations. These changes include grammatical and stylistic updates, clarifications on quorum and public meeting procedures, and an updated address, aiming to improve the CSB's function and reflect its mission.
CMS Medicare Part C/D Reporting Requirements Notice Comment Period
The Centers for Medicare & Medicaid Services (CMS) is seeking public comment on its intention to collect information related to Medicare Part C and D reporting requirements. This notice provides a 60-day comment period for interested parties to submit feedback on the proposed information collection.
CMS Seeks Public Comment on Information Collection Activities
The Centers for Medicare & Medicaid Services (CMS) is seeking public comment on its intention to collect information from the public under the Paperwork Reduction Act. This notice provides an opportunity for interested parties to submit comments on the proposed information collection activities.
Medicare Advantage Deeming Authority Renewal for NCQA
The Centers for Medicare & Medicaid Services (CMS) is considering the renewal of the National Committee for Quality Assurance's (NCQA) Medicare Advantage deeming authority. This notice requests public comments on whether to approve NCQA's application to continue deeming Health Maintenance Organizations and Preferred Provider Organizations compliant with certain Medicare requirements.
Medicare/Medicaid CY 2026 Payment Policies Correction Notice
The Centers for Medicare & Medicaid Services (CMS) issued a correction notice for the CY 2026 Physician Fee Schedule final rule. This notice corrects typographical and technical errors in the original rule, which finalized payment policies for Medicare and Medicaid programs for calendar year 2026.
Anthropic PBC v. U.S. Department of War - Administrative Procedures Act Case
Anthropic PBC has filed a civil case against the U.S. Department of War, citing the Administrative Procedures Act. The case was filed on March 9, 2026, in the U.S. District Court for the Northern District of California. Recent filings include motions for Pro Hac Vice appearances and amicus briefs from various organizations.
CIA Freedom of Information Act Regulations
The CIA has published updated regulations concerning the Freedom of Information Act (FOIA). These amendments aim to clarify procedures and definitions related to FOIA requests submitted to the agency. The changes are procedural and do not introduce new substantive obligations for external parties.
Decennial Review of Operational Files Designations Notice
The Central Intelligence Agency (CIA) has issued a notice regarding its decennial review of operational files designations. This review process ensures that designations are periodically re-evaluated in accordance with applicable laws and regulations.
CIA Privacy Act New System of Records Notice
The Central Intelligence Agency (CIA) has issued a new System of Records Notice (SORN), CIA-44 Business Analytics Records. This notice covers the collection, curation, exploration, and analysis of CIA business data used for decision-making regarding workforce, facilities, and processes.
Official Government Regulations and Public Notices
This document serves as an official repository for government regulations and public notices from various US federal agencies. It provides a centralized platform for accessing official government documents and announcements.
Privacy Act Systems of Records Notice
The Central Intelligence Agency (CIA) has published a Systems of Records Notice regarding the Privacy Act. This notice details the systems of records maintained by the agency that are subject to the Privacy Act of 1974.
AG Bonta Blocks Federal Public Health Grant Termination
California Attorney General Rob Bonta announced a court order blocking the Trump Administration's termination of over $600 million in federal public health grants. The funding cuts exclusively targeted four Democratic-led states and were alleged to be politically motivated.
State AGs Oppose Expansion of Catastrophic Health Insurance Plans
California Attorney General Rob Bonta, leading a coalition of 19 state attorneys general, submitted a comment letter opposing a proposed rule by HHS and CMS to expand catastrophic health insurance plans. The proposed rule would increase out-of-pocket maximums and weaken coverage requirements, potentially leaving consumers with significant financial risk.
SEC - Archer-Daniels-Midland Co. Waiver Request for Ineligible Issuer Status
The SEC is considering a waiver request from Archer-Daniels-Midland Co. (ADM) to maintain its Well-Known Seasoned Issuer (WKSI) status, despite a recent settlement for violations of securities laws. ADM seeks to avoid being classified as an 'ineligible issuer' for three years following the settlement.
SEC Grants DigitalBridge Waiver of Ineligible Issuer Status
The SEC's Division of Corporation Finance granted DigitalBridge Group, Inc. a waiver from being considered an "ineligible issuer" under Rule 405 of the Securities Act of 1933. This waiver is due to a prior Commission order against its subsidiary, Colony Capital Investment Advisors, LLC.
SEC No-Action Letter: DoubleZero Programmatic Transfers
The SEC's Division of Corporation Finance issued a no-action letter to DoubleZero regarding Programmatic Transfers. The Division will not recommend enforcement action if these transfers are conducted as described, meaning they will not require registration under the Securities Act or Exchange Act.
SEC No-Action Letter for Fuse Crypto Limited
The SEC's Division of Corporation Finance issued a no-action letter to Fuse Crypto Limited, stating it will not recommend enforcement action if Fuse offers and sells its Tokens without registration under the Securities Act and Exchange Act. This guidance is based on the specific facts presented in Fuse's request.
SEC No-Action Letter: MegPrime Holding LLC Token Offering
The SEC's Division of Corporation Finance issued a no-action letter to MegPrime Holding LLC regarding its token offering. The Division stated it would not recommend enforcement action if MegPrime proceeds with the offering as described, without registration under the Securities Act or Exchange Act.
SEC No-Action Relief for Cboe BYX Exchange Rule Modification
The SEC's Division of Trading and Markets has issued no-action relief to Cboe BYX Exchange regarding modifications to its Retail Price Improvement Program. This relief extends to the program's expansion to include securities priced below $1.00, ensuring continued no-action stance on Rule 602 of Regulation NMS.
SEC No-Action Letter for Raymond James Capital Balance Funds
The SEC's Division of Trading and Markets issued a no-action letter to Raymond James & Associates, Inc. (RJA) regarding Rule 17a-13. The letter states the staff will not recommend enforcement action if RJA reconciles capital balance funds according to specified conditions, addressing unique reporting for these alternative investments.
SEC Grants Vestwell Securities Relief from Annual Audit Filing
The SEC's Division of Trading and Markets will not recommend enforcement action against Vestwell Securities, LLC if it does not file its 2025 audited annual financial statements. This relief is granted based on specific representations made by the firm regarding its operational status and plans.
SEC No-Action Letter: DTC Tokenization Services Pilot
The SEC's Division of Trading and Markets issued a no-action letter to The Depository Trust Company (DTC) regarding its pilot program for tokenization services. This guidance allows DTC to proceed with developing and testing its DTCC Tokenization Services using distributed ledger technology for security entitlements.
SEC Grants Capitolis Relief from Audited Financial Filing
The SEC's Division of Trading and Markets will not recommend enforcement action if Capitolis Global Broker Dealer LLC does not file its audited annual financial statements for the fiscal year ending January 31, 2026. This relief is contingent on the firm's audited financial reports for the subsequent fiscal year covering the entire period since its registration.
SEC grants Pacific Life permission to file SAP financial statements
The SEC's Chief Accountant's Office granted Pacific Life Insurance Company and Pacific Life & Annuity Company permission to file audited financial statements prepared in accordance with statutory accounting principles (SAP) instead of GAAP. This applies to specific annuity contracts filed on Form S-1.
SEC Grants SAP Financial Statement Filing for Life Insurers
The SEC's Chief Accountant's Office granted a request from American General Life Insurance Company and two affiliates to file financial statements prepared under statutory accounting principles (SAP) instead of GAAP for certain annuity contracts on Form S-1 registration statements. This permission is specific to the described non-variable annuity contracts and requires notification for future filings.
SEC Guidance: Insurance Companies May File SAP Financial Statements for Index-Linked Policies
The SEC's Division of Investment Management issued guidance allowing insurance companies to file financial statements prepared under statutory accounting principles (SAP) instead of GAAP for certain index-linked policies and contingent deferred annuities. This permission is subject to specific representations and acknowledgments filed with the SEC.
SEC Grants Eagle Life Insurance SAP Filing Permission
The SEC's Division of Investment Management granted Eagle Life Insurance Company permission to file audited financial statements prepared under statutory accounting principles (SAP) instead of GAAP in its Form S-1 registration statements. This guidance applies to specific index-linked annuity contracts.
SEC No-Action Letter: Jackson National Life Insurance SAP Financial Statements
The SEC's Division of Investment Management granted Jackson National Life Insurance Company and Jackson National Life Insurance Company of New York permission to file financial statements prepared under statutory accounting principles (SAP) instead of GAAP. This applies to specific annuity contracts filed on Form S-1.
FMC Notice of Agreement Filing - North Europe-USEC Vessel Sharing Agreement
The Federal Maritime Commission (FMC) has issued a notice regarding the filing of Amendment No. 1 to Agreement No. 201440-001, the North Europe-USEC Vessel Sharing Agreement. The amendment modifies services and the number of vessels operated under the agreement, with parties requesting expedited review.
Federal Maritime Commission Agreement Filing Notice
The Federal Maritime Commission has issued a notice regarding an agreement filing. This notice pertains to standard administrative procedures for agreements within the maritime industry.
Federal Maritime Commission Investigation of Hapag-Lloyd AG Compliance
The Federal Maritime Commission has issued an Order Directing Hapag-Lloyd AG to Show Cause in Docket No. CC-002. This investigation will determine if Hapag-Lloyd AG should be ordered to refund or waive charges for failing to comply with specific U.S. maritime regulations.
Federal Maritime Commission Notice of Agreement Filing
The Federal Maritime Commission (FMC) has issued a notice regarding the filing of an amended space charter agreement between Sallaum Lines Ltd. and Hyundai Glovis Co. Ltd. The amendment updates party information, revises chartered space amounts, and restates the agreement.
Federal Maritime Commission Complaint Filed
The Federal Maritime Commission has received a complaint filed by Gator Fabrication Technology, LLC against Flador Global Logistics and NTG Air & Ocean, LLC. The complaint alleges violations of the Shipping Act related to withholding cargo, imposing detention charges, and asserting maritime liens.
Public Buildings Reform Board Document PBRB-2023-0001-0001
The Public Buildings Reform Board has issued document PBRB-2023-0001-0001. This notice serves as an internal administrative record and does not impose new obligations on regulated entities.
Regulations.gov Document PBRB-2024-0001-0001
This document is a placeholder page on Regulations.gov for a specific regulatory item identified by PBRB-2024-0001-0001. It provides a reference point for tracking regulatory actions and does not contain substantive regulatory text or requirements.
Public Buildings Reform Board Document PBRB-2024-0002-0001
The Public Buildings Reform Board has issued document PBRB-2024-0002-0001. This document likely pertains to internal operations or administrative matters of the board, with no immediate compliance obligations for external entities.
Government Regulations Portal
The US government has launched a new portal for accessing regulations. This notice serves as an announcement for the availability of the "Government regulations portal," providing a centralized resource for regulatory information.
Public Buildings Reform Board Regulation PBRB-2025-0034-0001
The Public Buildings Reform Board has issued a new regulation, document PBRB-2025-0034-0001. This document outlines new procedural requirements for the management and oversight of public buildings. Further details on specific changes are available within the regulation.
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