富乐律师事务所合伙人克莱德·廷南在《威斯康星律师》杂志发表题为 《美国证券交易委员会对资本市场的监管攻势》 的文章, 系统阐述了美国证券交易委员会(SEC)新近出台的规则所存在的问题、SEC权限的法律边界,以及为受影响企业提供法律服务的律师应考虑采取的应对措施。
在该文章中,廷南深入剖析了美国证券交易委员会(SEC)规则存在的六大关键缺陷,尤其针对私募基金顾问、网络安全披露以及气候变化与环境披露等领域。这些缺陷包括:对长期现行规则的全面修订、超出SEC法定权限的规则制定、将披露量等同于披露质量的错误假设、潜在的宪法第一修正案争议、对合规成本的漠视,以及为行动辩护时采用的谬误前提。
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