Latham's market-leading team of dedicated specialists advises investors and market participants in structuring, evaluating, committing capital to, managing, and realizing myriad investment opportunities across global markets and industries.
Latham offers clients comprehensive, in-depth global expertise on the full range of regulatory and enforcement matters involving commodities and derivatives across markets.
Regulatory Insight
Our regulatory lawyers represent financial institutions, fintech ventures, energy companies, investment funds, sovereign funds, brokers, trading platforms, and corporate end-users across a wide range of markets on matters involving:
- Bespoke and complex derivatives
- Trading platforms and intermediaries
- Indices and benchmarks
- Trading, risk management, and hedging transactions across all markets, including interest rates, credit, FX, energy, metals, agriculture, and cryptocurrencies, as well as equity-linked financial products
We regularly advise clients on implementation of and compliance with derivatives regulation under:
- Title VII of the Dodd-Frank Act
- Commodity Exchange Act and CFTC regulations
- Securities Exchange Act and securities regulations
- National Futures Association and exchange rules
- Prudential regulations
- EMIR and other international legal regimes in the UK, EU, and Asia
We also actively advocate for clients helping to shape the evolving regulatory landscape, assisting market participants, trade associations, and other interested parties in submitting comment letters, requesting no-action relief, and seeking interpretive guidance from relevant agencies.
Enforcement & Litigation Prowess
Latham’s enforcement lawyers have been involved in many of the most significant government investigations and litigation relating to the commodities sector in the past decade. Our global team includes former supervisors from the CFTC Division of Enforcement, the Securities & Commodities Fraud Unit of the US Attorney’s Office for the Southern District of New York, and the SEC Division of Enforcement, as well as a former head of the Criminal Division of the US Department of Justice and other former prosecutors and government officials with deep experience in financial matters. Our industry insight allows us to assist clients in their most complex and significant investigations and disputes.
We represent clients in government and internal investigations and litigation relating to all aspects of commodities and derivatives, including a full range of regulatory issues and alleged conduct, such as:
- Market manipulation
- Spoofing and disruptive trading
- Insider trading and misappropriation of confidential information
- Wash trading
- AML and Bank Secrecy Act compliance
- Reporting disclosure issues
- Registration and regulatory obligations of swap dealers, futures commission merchants, introducing brokers, swap execution facilities, futures exchanges, commodity pool operators, and commodity trading advisors
Our enforcement work often involves complex trading and financial instruments, on which our market insight allows us to work closely with traders and other finance professionals and to engage effectively with government attorneys. Our integrated global team represents clients in both civil and criminal enforcement matters and investigations spanning multiple jurisdictions and regulatory authorities around the world.
Focus on Fintech
In tandem with our Fintech Industry Group, we advise on complex and novel regulatory issues involving digital assets and distributed ledger technology (DLT), guiding fintech clients through a rapidly changing regulatory landscape. We assist with numerous aspects of the evolving financial industry, including structuring derivatives based on cryptocurrencies and DLT-based clearing and settlement systems for various asset classes. Our practice group leaders are frequent speakers on industry trends, including cryptocurrencies, artificial intelligence, and other areas of innovation.