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Search Results for: Cybersecurity Regulation

Securities Class Actions Filed Against Three Chinese Tech Titans After Announcement of Cyber-Related Investigations

July 27, 2021 By Sierra Shear and Cara Peterman

In early July, investigations by a Chinese cybersecurity regulatory agency, the Cyberspace Administration of China (“CAC”), into at least three China-based technology companies—DiDi Global Inc. (“DiDi”), Full Truck Alliance Co. Ltd. (“FTA”), and Kanzhun Limited (“Kanzhun”)—were purportedly revealed weeks after each conducted a substantial initial public offering (“IPO”) on a United States stock exchange. These […]

Filed Under: Board Governance & Cyber Risk Management, National Security & Digital Crimes, Privacy & Cyber Regulatory Enforcement, Privacy & Cybersecurity Litigation

SEC Settles Enforcement Action for Disclosure Controls Violations Stemming from Data Security Incident

June 15, 2021 By Privacy, Cyber & Data Strategy Team

The SEC has settled an enforcement action against a large title insurer in connection with public statements and disclosures made by the company in May 2019 relating to a data security incident.  The underlying data security incident was the subject of the first set of charges brought by the New York Department of Financial Services […]

Filed Under: Board Governance & Cyber Risk Management, Crisis & Data Breach Response, Privacy & Cyber Regulatory Enforcement

Financial Regulatory Agencies Announce Proposed Rule Requiring Notice of Computer Security Incidents

January 12, 2021 By Kim Peretti

On December 18, 2020, federal financial regulatory agencies jointly announced a proposed rule that would impose new and expanded reporting requirements on supervised banking organizations that experience a “computer-security incident,” requiring notice within 36 hours of any computer-security incident that rises to the level of a “notification incident.” In a significant departure from current reporting […]

Filed Under: Board Governance & Cyber Risk Management, National Security & Digital Crimes, Privacy & Cyber Regulatory Enforcement Tagged With: Bank Secrecy Act (BSA), Board of Governors of the Federal Reserve System, Computer-Security Incident, FDIC, Gramm-Leach-Bliley Act (GLBA), Notice of Proposed Rulemaking, Office of the Comptroller of the Currency (OCC), Suspicious Activity Report (SAR)

In Response to Covid-19, NYDFS Delays while CA AG Declines to Change CCPA Timing

April 7, 2020 By Privacy, Cyber & Data Strategy Team

According to a report from the International Association of Privacy Professionals, the California Attorney General has confirmed that enforcement of the California Consumer Privacy Act (CCPA) will not be delayed due to the Covid-19 pandemic. “We’re committed to enforcing the law as early as July 1,” said a representative of the Attorney General’s office according […]

Filed Under: Uncategorized

New Hampshire Passes Insurance Data Security Law

August 23, 2019 By Dorian Simmons

New Hampshire recently passed its Insurance Data Security Law based on the National Association of Insurance Commissioners’ (NAIC) Insurance Data Security Model Law.  The law will go into effect January 1, 2020.  New Hampshire is one of several states, including Alabama, Connecticut, Delaware, Michigan, Mississippi, Ohio, and South Carolina, that has passed an insurance data […]

Filed Under: Board Governance & Cyber Risk Management, Crisis & Data Breach Response, Privacy & Cyber Regulatory Enforcement

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