Skip to main content

Book

Social Media Compliance Guide for Issuers, Broker-Dealers, and Advisers

9 July 2018
Mayer Brown Book
The use of social media raises many securities law and compliance challenges for issuers, broker-dealers, and investment advisers. This Compliance Guide summarizes briefly some key considerations.

Authors

  • Bradley Berman
    T +1 212 506 2321
  • Leslie S. Cruz
    T +1 202 263 3337
  • Michael L. Hermsen
    T +1 312 701 7960
  • Adam D. Kanter
    T +1 202 263 3164
  • Anna T. Pinedo
    T +1 212 506 2275
  • Jerome J. Roche
    T +1 202 263 3773
  • Joanne M. Sur-Young
    T +1 212 506 2448
The Build a Report feature requires the use of cookies to function properly. Cookies are small text files that are placed on your computer by websites that you visit. They are widely used in order to make websites work, or work more efficiently. If you do not accept cookies, this function will not work. For more information please see our Privacy Policy

You have no pages selected. Please select pages to email then resubmit.