GRC Report Staff

EU's Climate Resilience Report Highlights Urgency of Addressing Climate Protection Gap

The European Commission's Climate Resilience Dialogue has released a comprehensive report that sheds light on the urgent need to narrow the climate protection gap and enhance resilience against the escalating impacts of climate change in Europe. The report, which synthesizes key insights from extensive stakeholder discussions, comes at a critical time as Europe grapples with unprecedented climate challenges.

ESMA Warns of Heightened Risks in Financial Markets & Calls for Vigilance

The European Securities and Markets Authority (ESMA) has published its second risk monitoring report of 2024, sounding a clear alarm about the current state of EU financial markets. This comprehensive assessment underscores the critical need for heightened vigilance across all sectors of the financial industry.

US Banks Lag in Climate Risk Management, Regulator Finds

According to a recent Reuters report, citing three people familiar with the matter, major US banks have been found to be in the early stages of assessing and managing climate change risks to their businesses. This information comes from a review conducted by the Office of the Comptroller of the Currency (OCC), which included 22 large banks.

CFTC Grants Over $4 Million to Whistleblower Who Unveiled Insider Misconduct

The Commodity Futures Trading Commission (CFTC) has awarded more than $4 million to an insider whistleblower. The award recognizes the whistleblower’s crucial contributions to an investigation that exposed ongoing violations of CFTC rules, ultimately leading to enforcement action against the perpetrators.

Merrill Lynch, Bank of America Fined $3 Million by FINRA for Surveillance Failures

Merrill Lynch and its parent company, Bank of America, have agreed to pay a $3 million fine and accept a censure from the Financial Industry Regulatory Authority (FINRA) for failing to properly monitor potentially manipulative trading activities by their customers. The settlement, announced on August 28, addresses violations that occurred from 2015 to present at Merrill Lynch and from 2019 to present at Bank of America Securities, the bank's institutional broker-dealer.

EBA Backs Extended Dutch Banking Measure, Highlighting Ongoing Risks & Resilience Challenges

The European Banking Authority (EBA) has endorsed the Dutch Central Bank's (DNB) decision to extend a key macroprudential measure, underscoring persistent systemic risks in the Netherlands' residential real estate market and emphasizing the ongoing challenge of building financial sector resilience.

Nasdaq Futures, Inc. Slapped with $22 Million Penalty Amid Concerns Over CFTC's Regulatory Approach

The Commodity Futures Trading Commission (CFTC) has ordered Nasdaq Futures, Inc. to pay a $22 million civil monetary penalty. The penalty stems from the company's failure to adhere to core regulatory principles, its lack of full disclosure regarding incentive programs, and for providing false and misleading information to the CFTC.