Market Manipulation. Search

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