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SEC’s Fort Worth Regional Office Investigating Underwriter Disclosures on Environmental, Social, and Governance Issues

By Matthias Kleinsasser & Winstead on January 7, 2022
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It’s not a secret that, under the Biden administration, the Securities and Exchange Commission has prioritized enforcement of disclosures concerning Environmental, Social, and Governance Issues (ESG), going so far as to form an enforcement task force to examine misconduct related to these disclosures.  Recently, the SEC’s Fort Worth regional office reportedly launched an investigation into ESG disclosures by underwriters relating to investments in the oil-and-gas and firearm industries.

Many financial institutions have enacted policies limiting their participation in these industries.  In response, recently enacted provisions of the Texas Government Code place restrictions on the ability of Texas governmental entities (e.g., state and local governmental bodies issuing securities) to invest with, or enter into contracts with, companies that “boycott” or “discriminate” against the oil-and-gas and firearm industries.  See Tex. Gov. Code Chapters 809 and 2274.  The new laws require financial institutions doing business with Texas governmental entities to certify they are not boycotting or discriminating against these types of companies.  The SEC is reportedly investigating whether financial institutions doing underwriting work in Texas are being consistent in what they disclose to investors and the State of Texas regarding these hot-button issues.  The Reuters article reporting the investigation is available here.


Winstead’s Securities Litigation & Enforcement Team

Winstead’s Securities Litigation and Enforcement team has extensive experience handling disclosure investigations, as well as resulting enforcement actions.  The team is jointly led by Toby Galloway, former Chief Trial Counsel for the SEC’s Fort Worth office, and Ronak Patel, former Deputy Securities Commissioner of Texas, and is staffed with a deep bench of attorneys well-suited to help clients navigate the choppy waters of an SEC inquiry.

 

 

Disclaimer: Content contained within this article provides information on general legal issues and is not intended to provide advice on any specific legal matter or factual situation. This information is not intended to create, and receipt of it does not constitute, a lawyer-client relationship. Readers should not act upon this information without seeking professional counsel.

Photo of Matthias Kleinsasser Matthias Kleinsasser

mkleinsasser@winstead.com
817.420.8281

Matthias Kleinsasser is a seasoned litigator with experience in federal district court, bankruptcy court, and Texas state court. He regularly represents officers, directors, and other clients involved in private securities litigation, as well as in investigations brought by regulatory agencies. Read…

mkleinsasser@winstead.com
817.420.8281

Matthias Kleinsasser is a seasoned litigator with experience in federal district court, bankruptcy court, and Texas state court. He regularly represents officers, directors, and other clients involved in private securities litigation, as well as in investigations brought by regulatory agencies. Read More.

Read more about Matthias KleinsasserEmailMatthias's Linkedin Profile
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  • Posted in:
    Banking, Finance and Securities
  • Blog:
    Securities Litigation and Regulatory Enforcement
  • Organization:
    Winstead PC
  • Article: View Original Source

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