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Securities Investigations and Enforcement Newsletter – August 2026

By Jay Dubow, Ghillaine Reid, Keith J. Barnett, Gregory Casamento, Joanna Cline, Paul Coggins, Seth Erickson, Genna Garver, Heath Linsky, Tim Mast, Jennifer McCoy, Megan Rahman, Terrance Reilly, Michael Renetzky, Michael A. Schwartz, Casselle Smith, Peter Villar, Mary Weeks, John West, Matthew Berns, Valerie Holder, Brian Nichilo, Erica Dressler, Katie Hancin, Sophia Harmelin, Isabela Herlihy, Millie Krnjaja, George Phelan, Sophia Westphal & Taylor Williams on August 4, 2026
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Table of Contents

  • In the Spotlight
  • Team Member Spotlight: Jennifer McCoy
  • In the News
  • Webinars and Speaking Engagements
  • SEC Reform + Market Innovation
  • SEC Seeks Public Comment on Novel Exchange-Traded Funds
  • SEC’s Registered Offering Reform Proposal: A Potential Game-Changer for Public Non-Traded REITs
  • Enforcement + Settlement Developments
  • SEC’s 'No‑Deny' Settlement Policy Heads for a Crossroads at OMB and the Supreme Court
  • Advisor Compliance + Emerging Litigation Risk
  • FUNDamental QuickStudy: SEC Division of Examinations Issues Risk Alert on Economic Conflicts of Interest for Investment Advisers
  • AI-Related Issues in Securities Cases: Privilege Pitfalls and 'AI Washing' Claims

Troutman Pepper Locke’s Securities Investigations and Enforcement team counsels and defends clients through all stages of securities enforcement proceedings. Our attorneys have served in key government agencies and regulatory bodies, and bring their insight to bear in each representation. The team includes a former branch chief of the Division of Enforcement at the SEC, former enforcement lawyers, regulators and government attorneys, assistant United States Attorneys and former assistant attorneys general, as well as in-house counsel for public companies. Our lawyers and practice have been identified as leaders in the field by publications such as the Legal 500, SuperLawyers, Benchmark Litigation, and Chambers USA.


Link to In the Spotlight In the Spotlight

Link to Team Member Spotlight: Jennifer McCoy Team Member Spotlight: Jennifer McCoy

Jennifer is a partner in our Dallas office whose practice focuses on white collar criminal defense, government and internal investigations, and securities-related matters. She represents companies, educational institutions, public bodies, and individuals facing allegations of fraud, antitrust violations, securities issues, and False Claims Act violations.

Jennifer has extensive trial experience, having secured acquittals in both state and federal courts. She also conducts internal investigations and represents clients before the SEC and other federal and state agencies. Her thorough understanding of regulatory and compliance matters helps clients navigate complex legal landscapes effectively.

For Jennifer’s full bio, click here.


Link to In the News In the News

Our team frequently comments on emerging trends and developments in the legal industry. Below are several media quotes from one of our team members, offering insights and perspectives on current issues.

  • Quoted, “Energy Industry Sees Few Benefits in Semiannual SEC Reporting Proposal,” S&P Global Market Intelligence, June 5, 2026. Republished in Seeking Alpha, June 7, 2026.
  • Quoted, “CFTC Joins SEC in Scrapping ‘Gag Rule’,” Pensions & Investments, June 5, 2026.
  • Quoted, “The SEC’s ‘Gag Rule’ Is Gone. Settlements Could Be More Complex,” Pensions & Investments, June 1, 2026.
  • Quoted, “SEC’s Private Credit Scrutiny Likely to Focus on Valuations, Conflicts,” FundFire, May 11, 2026.
  • Quoted, “The SEC Wants to Let Firms Report Twice a Year. This Is What It Means for Advisors,” InvestmentNews, May 7, 2026.
  • Quoted, “Semiannual Reporting Sparks Conundrum For REITs,” Law360, May 6, 2026.
  • Quoted, “SEC Proposes Rule Reducing Frequency of Public Company Reporting,” Chief Investment Officer, May 6, 2026.
  • Quoted, “SEC Issues Semiannual Reporting Proposal, Moves to Scrap Climate Rule,” FundFire, May 6, 2026.
  • Quoted, “SEC Formally Proposes Making Quarterly Reporting Optional for Public Companies,” Corporate Compliance Insights, May 6, 2026.

Link to Webinars and Speaking Engagements Webinars and Speaking Engagements

  • Jay Dubow will speak on the “Healthcare Securities Class Actions, SEC Enforcement & Emerging Capital Markets Risks,” panel at the American Bar Association Business Law Section Fall Meeting on September 2 at 10:00 a.m. CT.
  • Ghillaine Reid will moderate the “Cybersecurity in the Age of AI,” panel at the National Association for Women Lawyers General Counsel Institute on October 14 at 4:15 p.m. ET.
  • Ghillaine Reid will speak on the “Three Seats at the Table: Coordinating Government, Corporate, & Outside Counsel in the Age of AI Investigations,” panel at the upcoming GICLI Annual Meeting on November 19 at 9:45 a.m. ET.

Link to SEC Reform + Market Innovation SEC Reform + Market Innovation

Link to SEC Seeks Public Comment on Novel Exchange-Traded Funds SEC Seeks Public Comment on Novel Exchange-Traded Funds

By Terrance James Reilly and Taylor M. Williams

On June 30, the Securities and Exchange Commission (SEC) issued a request for public comment (the Request) on exchange-traded funds (ETFs) that seek to invest in innovative asset classes or employ novel investment strategies (Novel ETFs). The Request signals the SEC’s intent to examine and potentially reshape the regulatory framework governing a rapidly evolving segment of the ETF market.

The Request was published in the Federal Register on July 2, 2026. Comments must be received on or before August 31, 2026.

Read more

Link to SEC’s Registered Offering Reform Proposal: A Potential Game-Changer for Public Non-Traded REITs SEC’s Registered Offering Reform Proposal: A Potential Game-Changer for Public Non-Traded REITs

By Mary Katherine Rawls and Heath D. Linsky

Public non-traded real estate investment trusts (non-traded REITs) that register their offerings with the U.S. Securities and Exchange Commission (SEC) under the Securities Act of 1933, as amended (Securities Act), have long been subject to a fragmented patchwork of state securities regulation. Under current law, Section 18(a) of the Securities Act restricts states from imposing registration or qualification requirements only on covered securities. Exchange-listed securities enjoy this protection, while unlisted securities, including shares of non-traded REITs, do not.

Read more


Link to Enforcement + Settlement Developments Enforcement + Settlement Developments

Link to SEC’s ‘No‑Deny’ Settlement Policy Heads for a Crossroads at OMB and the Supreme Court SEC’s ‘No‑Deny’ Settlement Policy Heads for a Crossroads at OMB and the Supreme Court

By Jay A. Dubow and Ghillaine A. Reid

On May 8, the U.S. Securities and Exchange Commission (SEC) quietly sent a final rule titled “Rescission of Policy Regarding Denials in Settlements of Enforcement Actions” to the Office of Management and Budget (OMB) for review under Executive Order 12866. Although the text of the rule has not yet been released, the title strongly suggests that the SEC is preparing to roll back or significantly revise its decades‑old “no‑deny” settlement policy. That development arrives just as a major challenge to the policy is pending before the U.S. Supreme Court.

Read more


Link to Advisor Compliance + Emerging Litigation Risk Advisor Compliance + Emerging Litigation Risk

Link to FUNDamental QuickStudy: SEC Division of Examinations Issues Risk Alert on Economic Conflicts of Interest for Investment Advisers FUNDamental QuickStudy: SEC Division of Examinations Issues Risk Alert on Economic Conflicts of Interest for Investment Advisers

By Michael K. Renetzky, Genna Garver, Tom Bohac, and Brooke Labonski

On June 9, 2026, the U.S. Securities and Exchange Commission’s (SEC) Division of Examinations published a Risk Alert highlighting exam observations related to investment advisers’ obligations concerning economic conflicts of interest and associated fee practices. The Risk Alert signals that examiners will be taking a closer look at the economic incentives that advisers and their financial professionals may have when recommending products, services, or account types to clients, including the source and structure of compensation and other economic benefits.

Read more

Link to AI-Related Issues in Securities Cases: Privilege Pitfalls and ‘AI Washing’ Claims AI-Related Issues in Securities Cases: Privilege Pitfalls and ‘AI Washing’ Claims

By Jay A. Dubow, Erica Hall Dressler, and Milica Krnjaja

Artificial intelligence (AI) tools have quickly become integral to users across the spectrum, from large public companies to individual consumers. Public companies now routinely reference “AI-driven” strategies on earnings calls, and boards are being briefed on AI risks alongside cybersecurity and ESG. The legal industry is no exception. Law firms and their clients increasingly rely on AI to draft disclosures, summarize documents, and prepare for litigation. Given this widespread use and popularity, AI-related issues have unsurprisingly begun to feature prominently in recent securities cases. These issues range from allegations of “AI washing” and overstated AI capabilities to disputes over whether clients’ use of generative AI tools can be shielded by the attorney-client privilege.

Read more

Tags: AI
Photo of Jay Dubow Jay Dubow

Jay co-leads the firm’s Securities Investigations + Enforcement Practice Group. He focuses his practice on complex business litigation, with a special emphasis on defending against shareholder derivative and securities class action litigation. He also represents clients involved in investigations by the U.S. Securities…

Jay co-leads the firm’s Securities Investigations + Enforcement Practice Group. He focuses his practice on complex business litigation, with a special emphasis on defending against shareholder derivative and securities class action litigation. He also represents clients involved in investigations by the U.S. Securities and Exchange Commission (SEC), the Pennsylvania Department of Banking and Securities, and various self-regulatory organizations, including the Financial Industry Regulatory Authority, Inc. (FINRA). He also conducts internal investigations on behalf of clients. Such investigations have included allegations involving the Foreign Corrupt Practices Act (FCPA), whistle blower claims, financial fraud, and civil and criminal violations of various federal and state laws.

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Photo of Ghillaine Reid Ghillaine Reid

Ghillaine co-leads the Securities Investigations + Enforcement Practice Group at Troutman Pepper. She focuses her practice on government and securities regulatory investigations, financial services litigation, commercial litigation, and corporate compliance. Drawing on her experience in government service and private practice, Ghillaine regularly represents…

Ghillaine co-leads the Securities Investigations + Enforcement Practice Group at Troutman Pepper. She focuses her practice on government and securities regulatory investigations, financial services litigation, commercial litigation, and corporate compliance. Drawing on her experience in government service and private practice, Ghillaine regularly represents corporations and individuals in investigations conducted by the Securities & Exchange Commission, the Department of Justice, the Financial Industry Regulatory Authority, and other government and regulatory agencies. Ghillaine has successfully defended several high profile SEC investigations and enforcement proceedings involving a wide range of significant issues, including insider trading, accounting fraud, market manipulation, and broker-dealer sales practice violations. Prior to entering private practice, Ghillaine was a Branch Chief and Staff Attorney in the New York Regional Office of the Securities & Exchange Commission’s Division of Enforcement, where she investigated and litigated a wide range of securities enforcement matters.

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Photo of Keith J. Barnett Keith J. Barnett

Keith’s experience representing clients in the financial services industry as a litigation, compliance, regulatory, investigations (internal and regulatory), and enforcement attorney spans 20 years. Keith represents clients against government regulators (CFPB, FTC, SEC, CFTC), industry regulators (FINRA), and private litigants in federal courts…

Keith’s experience representing clients in the financial services industry as a litigation, compliance, regulatory, investigations (internal and regulatory), and enforcement attorney spans 20 years. Keith represents clients against government regulators (CFPB, FTC, SEC, CFTC), industry regulators (FINRA), and private litigants in federal courts, state courts, and before arbitration and administrative law panels in the financial services industry.

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Photo of Gregory Casamento Gregory Casamento

Greg brings extensive experience in complex commercial litigation and high-stakes class actions to defend clients in the financial services and fintech sectors. He helps them navigate and resolve intricate legal challenges.

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Photo of Joanna Cline Joanna Cline

From arbitration and corporate disputes to complex class actions, clients count on Joanna for proactive, strategic advice and sound, effective advocacy in court.

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Photo of Paul Coggins Paul Coggins

Paul leverages his experience as a former U.S. Attorney and notable prosecutorial achievements to defend Fortune 500 clients in high-stakes federal litigation and SEC matters. His comprehensive knowledge and commitment to justice make him an asset to clients facing white collar criminal issues.

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Photo of Seth Erickson Seth Erickson

Seth represents clients in a wide variety of complex disputes, including insurance, securities, privacy, bankruptcy, and other commercial litigation. Seth has successfully litigated cases in trial and appellate courts across the country, and he has first-chair jury trial experience and first-chair arbitration experience

…

Seth represents clients in a wide variety of complex disputes, including insurance, securities, privacy, bankruptcy, and other commercial litigation. Seth has successfully litigated cases in trial and appellate courts across the country, and he has first-chair jury trial experience and first-chair arbitration experience before FINRA. Seth also investigates securities and privacy disputes, and advises clients on coverage issues under directors and officers, cyber, and employment practices liability policies.

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Photo of Genna Garver Genna Garver

Genna provides targeted, practical advice to investment advisers and their proprietary private investment funds. She represents institutional investors, funds of funds and family offices in connection with their private fund investments. Genna routinely advises clients on formation and offering matters for both domestic…

Genna provides targeted, practical advice to investment advisers and their proprietary private investment funds. She represents institutional investors, funds of funds and family offices in connection with their private fund investments. Genna routinely advises clients on formation and offering matters for both domestic and offshore funds; SEC and state investment adviser, broker-dealer and private fund regulation; Investment Advisers Act compliance programs, annual reviews and ongoing compliance matters; and regulatory examinations and investigations.

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Photo of Heath Linsky Heath Linsky

Heath represents real estate-based companies, including public nonlisted and listed REITs, private REITs, and private real estate funds on securities offerings, mergers and acquisitions, and joint ventures. He has decades of experience and intricate knowledge of the retail capital markets distribution channel.

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Photo of Tim Mast Tim Mast

Tim Mast has over 25 years of experience litigating complex business disputes in state and federal courts across the country.  He regularly represents companies and their officers and directors in litigation arising out of public disclosures, securities offerings, financing transactions and mergers and…

Tim Mast has over 25 years of experience litigating complex business disputes in state and federal courts across the country.  He regularly represents companies and their officers and directors in litigation arising out of public disclosures, securities offerings, financing transactions and mergers and acquisitions, including securities class actions, shareholder derivative litigation, ERISA class actions and post-closing disputes related to working capital adjustments, earn-outs and breaches of representations and warranties.

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Photo of Jennifer McCoy Jennifer McCoy

Jennifer focuses her practice on white collar criminal defense, government and internal investigations, and overlapping labor and employment matters. Her clients include companies, educational institutions, public bodies, and individuals facing various allegations of fraud, anti-trust violations, securities issues, anti-kickback violations, false claims act…

Jennifer focuses her practice on white collar criminal defense, government and internal investigations, and overlapping labor and employment matters. Her clients include companies, educational institutions, public bodies, and individuals facing various allegations of fraud, anti-trust violations, securities issues, anti-kickback violations, false claims act violations, and misconduct related to employment, regulatory, and compliance matters.

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Photo of Megan Rahman Megan Rahman

Megan represents clients in high-stakes government investigations and litigation. Clients rely on her responsive and proactive approach to effectively anticipating and resolving challenges.

Read more about Megan RahmanEmailMegan's Linkedin Profile
Photo of Terrance Reilly Terrance Reilly

Terrance advises registered investment companies, investment advisers, hedge funds, broker-dealers, and other financial services industry firms, bringing industry experience and a practical approach to addressing their ongoing management needs. He has been involved in the investment industry for more than 25 years and…

Terrance advises registered investment companies, investment advisers, hedge funds, broker-dealers, and other financial services industry firms, bringing industry experience and a practical approach to addressing their ongoing management needs. He has been involved in the investment industry for more than 25 years and is well-versed in all applications of the Investment Company Act of 1940 and the Investment Advisers Act of 1940.

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Photo of Michael Renetzky Michael Renetzky

Michael has considerable experience counseling clients on investment adviser, trust company, investment company, and broker-dealer regulation, securities law compliance, and debt and equity financing matters.

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Photo of Michael A. Schwartz Michael A. Schwartz

Mike heads the firm’s White Collar + Government Investigations Practice Group, and advises clients on criminal defense, False Claims Act and Foreign Corrupt Practices Act matters, internal corporate investigations, corporate compliance programs, corporate monitorships, and First Amendment matters.

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Photo of Casselle Smith Casselle Smith

Casselle counsels individuals and entities in high-stakes matters across a variety of sectors and routinely represents clients in connection with allegations of wrongdoing that have enterprise-wide implications and the potential for catastrophic reputational harm.

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Photo of Peter Villar Peter Villar

Peter Villar was recognized in 2021 as a Best Lawyer in America in the areas of Business and Securities litigation. He is a seasoned trial attorney who has successfully tried and defended dozens of high-stakes commercial disputes across the country including several of…

Peter Villar was recognized in 2021 as a Best Lawyer in America in the areas of Business and Securities litigation. He is a seasoned trial attorney who has successfully tried and defended dozens of high-stakes commercial disputes across the country including several of the largest cases in the Central District of California involving billions of dollars in alleged damages. Peter represents companies across a wide spectrum of industries including private equity, technology, aerospace, apparel, manufacturing, energy, finance, life sciences, and real estate, and has litigated claims of securities fraud, breach of fiduciary duty, unfair competition, racketeering, conspiracy, theft of trade secrets, trademark infringement, copyright infringement, and all forms of contractual disputes. Peter has extensive experience defending companies, broker-dealers, accounting firms, and financial institutions in lawsuits arising out of the purchase or sale of securities as well as investigations and enforcement actions by the SEC, PCAOB, FINRA, and other regulatory agencies.

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Photo of Mary Weeks Mary Weeks

Mary Weeks represents corporations and their directors and officers in complex commercial and securities litigation. Clients turn to her for guidance when facing allegations of fraud, breach of fiduciary duty, or corporate governance disputes.

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Photo of John West John West

Handling all phases of government and internal investigations, John West advises clients on regulatory compliance matters. Providing strong strategic and practical advice, he has particular experience in matters involving government contractors, the False Claims Act, and the alcoholic beverage industry.

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Photo of Matthew Berns Matthew Berns

Drawing on his experience in senior leadership roles in the New Jersey Attorney General’s and Governor’s Offices and as a trial attorney for the U.S. Department of Justice, Matt provides an insider’s perspective when guiding clients through complex government investigations, litigation, and other…

Drawing on his experience in senior leadership roles in the New Jersey Attorney General’s and Governor’s Offices and as a trial attorney for the U.S. Department of Justice, Matt provides an insider’s perspective when guiding clients through complex government investigations, litigation, and other actions.

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Photo of Valerie Holder Valerie Holder

Valerie defends highly regulated clients in a range of key disputes and investigations. As former assistant general counsel for one of the largest banks in the U.S., she provides practical, business-minded guidance to business leaders on operations and mitigating litigation risk.

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Photo of Brian Nichilo Brian Nichilo

Brian’s law enforcement and audit experience give him a unique perspective on government enforcement actions and internal investigations.

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Photo of Erica Dressler Erica Dressler

Erica helps clients resolve complex disputes in state and federal court and in arbitrations. She draws from diverse trial experience across industries to provide clients with practical and actionable advice.

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Photo of Katie Hancin Katie Hancin

Katie is an associate in the firm’s Business Litigation practice. She received her J.D., magna cum laude, from Temple Beasley School of Law.

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Photo of Sophia Harmelin Sophia Harmelin

Sophia is an associate in the firm’s Business Litigation practice. She received her law degree from Temple University Beasley School of Law with a Certificate in Trial Advocacy and Litigation, where she was a co-president of the Women’s Law Caucus, vice president of

…

Sophia is an associate in the firm’s Business Litigation practice. She received her law degree from Temple University Beasley School of Law with a Certificate in Trial Advocacy and Litigation, where she was a co-president of the Women’s Law Caucus, vice president of the Jewish Law Student Association, a staff editor of Temple Law Review, a member of the Student Bar Association Board of Governors, and a Rubin Public Interest Law Honor Society scholar. Sophia received her bachelor’s degree from the University of Florida, cum laude.

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Photo of Millie Krnjaja Millie Krnjaja

Milica focuses her practice on complex business litigation, with a particular emphasis on shareholder derivative and securities class action litigation, breach of contract disputes, franchise disputes, and international arbitration.

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Photo of George Phelan George Phelan

George is an associate in the firm’s Insurance Transactional + Regulatory practice. He received his J.D. from the University of Chicago Law School.

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Photo of Sophia Westphal Sophia Westphal

Sophia’s practice focuses on commercial litigation in a variety of disputes.

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Photo of Taylor Williams Taylor Williams

Taylor is an associate in the firm’s Corporate practice. She represents clients in private investment transactions, mergers, and acquisitions. She has successfully completed buy-side and sell-side transactions in sales and acquisitions of both equity and assets in a wide range of industries. She…

Taylor is an associate in the firm’s Corporate practice. She represents clients in private investment transactions, mergers, and acquisitions. She has successfully completed buy-side and sell-side transactions in sales and acquisitions of both equity and assets in a wide range of industries. She also has experience counseling clients in general corporate governance and organizational structuring.

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  • Posted in:
    Corporate Governance and Compliance
  • Blog:
    Regulatory Oversight
  • Organization:
    Troutman Pepper Locke
  • Article: View Original Source

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