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Crisis & Data Breach Response

South Carolina Insurance Data Security Law Now Effective

January 7, 2019 By Privacy, Cyber & Data Strategy Team

South Carolina’s prescriptive data security law for insurers took effect on January 1, 2019. Subject to specified exemptions, the law requires any person licensed pursuant to South Carolina insurance laws to take certain steps, including among other things notification of specified cybersecurity events to the South Carolina Department of Insurance. Covered persons are also required […]

Filed Under: Board Governance & Cyber Risk Management, Crisis & Data Breach Response Tagged With: US State Law

FTC Publishes Report Regarding Privacy Workshop

November 9, 2018 By Gavin Reinke

In October 2018, the Federal Trade Commission (“FTC”) published a report that summarized discussions at a December 2017 workshop discussing the potential impact to consumers of privacy and security incidents. The purpose of the workshop was to explore whether government intervention in this arena is warranted under the enforcement authority granted to the FTC under […]

Filed Under: Board Governance & Cyber Risk Management, Crisis & Data Breach Response, Privacy & Cyber Regulatory Enforcement, Privacy & Cybersecurity Litigation Tagged With: Federal Trade Commission (FTC), Litigation, Regulatory Enforcement

DOJ Releases “Best Practices for Victim Response and Reporting of Cyber Incidents,” Version 2.0

October 2, 2018 By Privacy, Cyber & Data Strategy Team

On September 27, 2018, the Department of Justice Computer Crime and Intellectual Property (CCIPS) Cybersecurity Unit released Version 2.0 of its “Best Practices for Victim Response and Reporting of Cyber Incidents.” Originally issued in 2015, the updated guidance seeks to help organizations better equip themselves to be able to respond effectively and lawfully to cyber […]

Filed Under: Board Governance & Cyber Risk Management, Crisis & Data Breach Response Tagged With: Cybersecurity

SEC Brings First Enforcement Action for Violation of the Identity Theft Red Flags Rule

September 27, 2018 By Cybersecurity Preparedness & Response Team and Securities Litigation Group

On September 26, 2018, the SEC brought its first ever enforcement action for violations of Regulation S-ID (the “Identity Theft Red Flags Rule”), 17 C.F.R. § 248.201, in addition to violations of Regulation S-P, 17 C.F.R. 30(a) (the “Safeguards Rule”). Regulation S-ID and Regulation S-P apply to SEC-registered broker-dealers, investment companies, and investment advisers, and […]

Filed Under: Board Governance & Cyber Risk Management, Crisis & Data Breach Response, Privacy & Cyber Regulatory Enforcement Tagged With: Cybersecurity, Regulatory Enforcement, Securities and Exchange Commission

Ohio Enacts Cybersecurity Safe Harbor Law

September 20, 2018 By Privacy, Cyber & Data Strategy Team

Ohio recently enacted the Ohio Data Protection Act (2018 SB 220), a law that offers a breach litigation safe harbor to businesses meeting specific cybersecurity standards. While the law does not prevent a plaintiff from filing a lawsuit following a data breach, it does provide an affirmative defense to companies defending themselves against such claims. […]

Filed Under: Board Governance & Cyber Risk Management, Crisis & Data Breach Response Tagged With: Safe Harbor

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