Insider trading enforcement actions
This library records 608 enforcement actions tagged insider trading. Insider trading is dealing in securities on material non-public information in breach of a duty of trust or confidence, which exploits a true signal others cannot see rather than injecting a false one into the price.
Actions are listed newest first. Each row links to a case page carrying the regulator's own release and, where one was published, the complaint. For how this technique works and what statute it engages, read the insider trading technique page.
- Actions
- 8
- Total penalties
- $0
- Median penalty
- —
- Largest
- —
- Criminal parallel
- 38%
| Action | Agency | Filed | Penalty | Status |
|---|---|---|---|---|
| SEC v. Steven B. Hart (insider trading, 2015) | SEC | 2015-02-18 | — | settled |
| SEC v. Hill and Charles L., Jr. (insider trading, 2015) | SEC | 2015-02-11 | — | unknown |
| SEC v. John Gray et al. (insider trading, 2015) | SEC | 2015-02-05 | — | settled |
| SEC v. Joel J. Epstein (insider trading, 2015) | SEC | 2015-02-03 | — | judgment |
| SEC v. Robert A. Ramsey, CPA (insider trading, 2015) | SEC | 2015-01-21 | — | settled |
| CFTC v. SAC LP (insider trading, 2014) | CFTC | 2014-09-17 | — | unknown |
| CFTC v. Ron Eibschutz (insider trading, 2013) | CFTC | 2013-05-09 | — | filed |
| CFTC v. CME Group’s New York Mercantile Exchange and Two Former Employees (insider trading, 2013) | CFTC | 2013-02-22 | — | filed |