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Blog
Not So Special After All: SEC Quietly Discards Special-Purpose Broker-Dealer Framework, Opens Digital Asset Custody to “Regular” Broker-Dealers

May 27, 2025

Sponsorship
Winston & Strawn Sponsors, Attorneys Speak at FMA’s 33rd Annual Securities Compliance Seminar

April 17, 2024

Blog
Road to Bitcoin Investment Cleared with SEC’s Approval of 11 Spot Bitcoin ETFs

January 11, 2024

In the Media
Three Litigation Partners Join Winston in Washington, D.C.

July 19, 2023

Press Release
Winston & Strawn Boosts D.C. Office’s Patent Litigation and Government Investigations Capabilities With Addition of Three Partners

July 17, 2023

Client Alert
SEC Division of Examinations’ 2023 Priorities

February 22, 2023

Blog
SEC Extends Deadline for Application of Rule 15c2-11 to Rule 144a Debt Securities

December 7, 2022

Recognitions
Winston Partners Named 2022 Client Service All-Stars by BTI

July 25, 2022

Press Release
Winston & Strawn’s Expanding Miami Office Adds Two Partners: A Leading Corporate / Financial Services Lawyer and an Experienced Litigator

June 29, 2022

Client Alert
SEC Division of Examinations: 2022 Examination Priorities

April 12, 2022

Article
Duty of Best Execution and Payment for Order Flow: A Review of Recent Civil Litigation

April 8, 2022

Client Alert
2021 SEC Examination Priorities

March 22, 2021

Blog
Financial Institutions – Regulatory Response and Considerations Related to the COVID-19 Pandemic

April 7, 2020

Client Alert
CMBS Litigation Redux: The First COVID Crisis Claims

April 7, 2020

Blog
Broker-Dealers Beware: SEC Division of Trading and Markets and FINRA Office of General Counsel Highlight Obstacles to Broker-Dealer Custody of Digital Assets

July 19, 2019

Blog
Crypto Developments 2018—Nine Trading Suspensions

April 2, 2019

Blog
FINRA Issues 2019 Risk Monitoring and Examination Priorities Letter

January 25, 2019

Blog
The Adviser’s Fiduciary Duty and the Blass Letter

January 14, 2019

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