Globally, regulatory authorities are broadening the scope of investigations, toughening their stance on corruption and re-designing monetary fines to reflect a “credible deterrent” to alleged improprieties. It’s more important than ever to be well-informed concerning the actions and motivations of enforcement agencies in order to identify and mitigate exposure to risk. The Ropes & Gray enforcement and compliance team leverages the experience and insight of former prosecutors and enforcement attorneys from the SEC, DOJ, and SOCA to help clients meet compliance standards and respond to regulators alleging impropriety. The Gray Matters blog affords in-house attorneys, clients and compliance professionals the opportunity to access thought leadership, summaries and commentary by experienced practitioners with hands-on experience addressing a range of issues affecting regulatory and compliance practices across key industries and jurisdictions.