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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
SEC Technical Amendments to Commission Rules and Forms
The SEC has issued a final rule making technical amendments to its existing rules and forms. This action is part of routine administrative updates to ensure clarity and accuracy in regulatory filings and procedures.
SEC Delegation of Authority to Director of Investment Management
The SEC has issued a final rule amending its delegation of authority to the Director of the Division of Investment Management. This rule clarifies and updates the specific functions and responsibilities that can be delegated to the Director. The changes are effective upon publication in the Federal Register.
SEC Technical Amendment to Delegation of Authority Rules
The SEC has adopted a technical amendment to its delegation of authority rules. This amendment corrects an outdated cross-reference in the rules that delegate authority to the Commission's staff to grant certain exemptions from Rule 612 of Regulation NMS.
SEC Proposes Amending Small Business Definitions for Investment Companies and Advisers
The SEC has proposed amendments to the definitions of 'small business' and 'small organization' for investment companies and advisers under the Regulatory Flexibility Act. The proposal aims to increase asset-based thresholds and establish a mechanism for future inflation adjustments. Public comments are due by March 13, 2026.
B338698 - Appellate Court Case Search Result
This document provides search results for appellate court case number B338698. It is a notification of case status within the court system. No new regulatory requirements or enforcement actions are detailed.
People v. J.C. - Case Opinion
The California Courts of Appeal have made available an opinion in the case of People v. J.C. This document represents a judicial decision and does not introduce new regulatory requirements for businesses.
People v. Zapata - Criminal Appeal
The California Court of Appeal, Fourth District, has made available its opinion in the criminal appeal case People v. Zapata, docket number D084024. This update pertains to a specific judicial proceeding and its published outcome.
Zenith Insurance Co. v. WCAB - Workers' Compensation Appeal
This document is a court case filing from the California Court of Appeal, Sixth District, involving Zenith Insurance Co. and the Workers' Compensation Appeals Board (WCAB). The case number is H052785. It represents a new legal proceeding within the state's workers' compensation system.
FINRA Proposed Rule Change to Amend Communications with the Public Rule
FINRA has filed a proposed rule change with the SEC to amend FINRA Rule 2210 concerning communications with the public. The amendment would permit members to project performance or provide targeted returns on investments, subject to specific conditions ensuring a sound basis for such projections.
State AGs Warn Corporations on Antitrust and Consumer Protection
A coalition of 10 State Attorneys General, led by Florida AG Uthmeier, has issued notices to nearly 80 corporations involved with the U.S. Plastics Pact, Consumer Goods Forum, or Sustainable Packaging Coalition. The AGs warn that these companies' participation in initiatives setting production and packaging targets may violate antitrust and consumer protection laws.
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