Anonymous hacks call between FBI and Scotland Yard about hackers | Digital Trends (Trevor Mogg)

A recent trans-Atlantic call between the FBI and the UK’s Scotland Yard in which operatives from the two law enforcement agencies discussed ongoing cases regarding a number of alleged hackers was intercepted and recorded—by hackers.

“Do you want to talk about cheese?” is the conversation opener in a trans-Atlantic phone call intercepted by hacker collective Anonymous between the FBI and the UK’s Metropolitan Police (aka Scotland Yard).

Once the issue of cheese had been dealt with, the participants in the conversation moved on to more pressing matters—such as how to deal with Anonymous. Of course, they had no idea the group was recording their conversation. And once it was over, the hackers uploaded the call to the Web.

Though part of the conversation centered on trivial matters, such as the merits of the British city of Sheffield (“it’s not exactly a jewel in England’s crown”), more important subjects were covered, such as the current situation with Ryan Cleary, a British man arrested last June for his alleged involvement with hacking group LulzSec. Another alleged hacker, whose name was bleeped out by Anonymous, was described by a British operative as “a pain in the bum.”

The FBI admitted that the call, which took place some time in January, was genuine and that it was now looking for those responsible for recording it and putting it online.

via Anonymous hacks call between FBI and Scotland Yard about hackers.

Courts push back on bribery prosecutions | Reuters (Aruna Viswanatha)

As the Justice Department has stepped up its enforcement of an anti-foreign bribery law, it has faced the expected stiff resistance from the business community.

Now it faces the unexpected as courts are pushing back, too.

In an unusual verbal order issued earlier this week, a federal judge in Houston dismissed without sending to the jury a case against a Texas man accused of authorizing bribes to government officials in Mexico, on behalf of his former employer, a unit of ABB Group (ABBN.VX).

The government’s principal witness “knows almost nothing”, U.S. District Judge Lynn Hughes said in announcing his decision to acquit the defendant, John O’Shea, according to a transcript.

Prosecutors also did not produce evidence to “conclude beyond a reasonable doubt” that a middleman did nothing for Swiss power products company ABB beyond pay the bribes, he said.

The decision is the latest in a string of setbacks for the Justice Department unit that prosecutes violations of the Foreign Corrupt Practices Act, a 1970s law that bars U.S.-linked companies and individuals from paying bribes to officials of foreign governments in exchange for business.

via Courts push back on bribery prosecutions | Reuters.

FBI rejects FOIA request for Carrier IQ info – Computerworld

The FBI has denied a request for the release of information regarding its use of Carrier IQ’s software, saying that releasing the information could interfere with ongoing law enforcement operations.

The response does not make it clear whether the agency is using Carrier IQ for investigative purposes, or whether the documents it has, are related to an investigation of the controversial software.

The request under the Freedom of Information Act was filed Dec. 1 by Michael Morisy, co-founder of MuckRock, a website that helps people file FOIA requests with the government. Morisy asked the FBI for any manuals, documents or other written material it might have related to the FBI’s use of data gathered by Carrier IQ.

In response, David Hardy, the section manager of the FBI’s Records Management Group said the FBI has in its possession “responsive documents” pertaining to Carrier IQ. However, Hardy said the FBI would not release the documents as requested because doing so would compromise ongoing investigations.

via FBI rejects FOIA request for Carrier IQ info – Computerworld.

In-House Compliance Requires Company-Wide Efforts | Corporate Counsel

When Frances McLeod and Greg Mason need to find missing money or probe a company’s compliance programs, they construct and analyze large datasets of the company’s financial transactions. About 75 percent of their global forensic accounting business is driven by compliance and enforcement issues, particularly those related to the U.S. Foreign Corrupt Practices Act (FCPA)—a priority area for U.S. regulators, and a top concern for general counsel.

Even though they’ve consulted with corporations and assessed market risks the world over, McLeod continues to be amazed by gaps in company compliance programs that bear on bribery and illicit payments. “There are a lot of companies that still don’t get it,” says McLeod, who worked in investment banking and on international banking and money-laundering investigations before co-founding Forensic Risk Alliance, a consultancy, in 1999.

via In-House Compliance Requires Company-Wide Efforts.

Regulators to cooperate on cross-border compliance concerns | Thomson Reuters

(Business Law Currents) The Financial Industry Regulatory Authority (FINRA) and the Ontario Securities Commission (OSC) have entered into a memorandum of understanding (MOU) to facilitate the exchange of regulatory information and investigative assistance with respect to regulated entities that operate across the U.S.-Canadian border.

FINRA was formed in 2007 from the consolidation of the National Association of Securities Dealers (NASD) and member regulation, enforcement and arbitration operations of the New York Stock Exchange. It is the largest non-governmental regulatory organization for securities brokers and dealers doing business in the United States. The MOU joins others maintained by the OSC with regulators such as the SEC and the China Securities Regulatory Commission.

The deal is expected to enhance the ability of both regulators to oversee securities firms and markets. The arrangement will facilitate the exchange of information on firms and individuals under common supervision and support collaboration on investigations and enforcement matters.

via Regulators to cooperate on cross-border compliance concerns.

SEC’s Sought-After Powers May Not Affect FCPA – Corruption Currents – WSJ

New powers sought by the Securities and Exchange Commission seem likely to have a limited effect on the agency’s enforcement of the Foreign Corrupt Practices Act.

As the Wall Street Journal reported Wednesday, SEC Chairman Mary Schapiro is seeking to impose much larger penalties on financial firms and individuals that commit fraud, after U.S. District Judge Jed S. Rakoff spurned a $285 million settlement between the SEC and Citigroup. That pact addressed civil-fraud charges that the New York company failed to disclose to investors its role in selecting investments in a $1 billion mortgage-bond deal that it was simultaneously betting would fail.

In a letter sent to senators late Monday, Schapiro asked Congress to pursue legislation that changes the legal formulas used by the agency to calculate penalties. Her proposals would allow the SEC to impose fines up to nine times greater than the maximum currently allowed by U.S. law. But the new formula wouldn’t apply to the primary tool used by the SEC in FCPA enforcement: disgorgement of profits.

Under the Securities Exchange Act of 1934, the SEC is authorized to pursue ill-gotten gains obtained through violation of federal securities law, a penalty called disgorgement. Disgorgement is a so-called “equitable remedy,” meaning the SEC is only allowed to recover the approximate amount earned from the crimes. Disgorgement is not intended to be punitive, but acts as a deterrent to illegal profit (See here for a good explanation).

The SEC has increasingly relied on disgorgement in its ramped-up enforcement of the FCPA. In April, Johnson & Johnson disgorged $48.6 million in profits including  prejudgment interest to settle allegations that it violated the FCPA. The drug maker also paid a $21.4 million criminal penalty to the Department of Justice as part of a coordinated settlement.

While the SEC can and does levy civil fines for FCPA violations, it usually chooses disgorgement from its toolbox of civil penalties. Danforth Newcomb, counsel at Shearman & Sterling LLP, said that reliance stemmed, in part, from increased coordination with the Justice Department and foreign law enforcement authorities on FCPA settlement proceedings.

via SEC’s Sought-After Powers May Not Affect FCPA – Corruption Currents – WSJ.

Anonymous exposes cybercrime investigator’s Gmail, voicemail

On Friday, a group of hackers operating under the banner of Anonymous’ Operation AntiSec published the private e-mails of a California Department of Justice investigator. The hackers posted the entirety of the 38,000 e-mails in a Gmail account that appears to belong to Alfredo “Fred” Baclagan, a California Department of Justice special agent supervisor in charge of computer crime investigations, to a hidden site on Tor, as well as to a torrent listed on The Pirate Bay. They also posted what they claim is Baclagan’s personal address and phone number.

The effort is part of an ongoing attack on law enforcement as part of a response to law enforcement’s activities surrounding the Occupy Wall Street protests. Operation AntiSec began as a “joint” effort between Anonymous and LulzSec in June as a protest against government monitoring and censorship of the Internet. The targeting of the FBI and other law enforcement increased after the July arrest of alleged LulzSec members for denial of service attacks on Visa over cutting off payment processing for Wikileaks.

Update: In a Twitter message to Ars Technica, Anonymous member @AnonyOps said that the attacks on law enforcement members “also has to do w/ FBI’s targeting of anons, re: imprisoned during opPayback and others.” Operation Payback included the distributed denial of service attack on Visa, Mastercard and PayPal after the companies bowed to political pressure and cut off contribution processing to Wikileaks.

The e-mails included a substantial number of posts from the archives of the International Association of Computer Investigative Specialists’ private discussion list, where investigators discussed computer forensic methods. A series of e-mails posted by Anonymous include the reaction of IACIS members to a teaser post of threads from the list to the Twitter account of Sabu, a well-known Anonymous hacker, and an e-mail from Baclagan’s hacked Google account rickrolling the list. The IACIS site is currently down for maintenance, apparently as a result of the disclosures.

via Anonymous exposes cybercrime investigator’s Gmail, voicemail.

SEC Breaks Enforcement Record, Begins Tracking FCPA Separately – Corruption Currents – WSJ

The U.S. Securities and Exchange Commission filed a record of 735 enforcement actions in the last fiscal year, and broke out violations of foreign bribery law for the first time.The record number of enforcement actions, however, netted a slight decrease in disgorgement and penalties paid in the past fiscal year over the year before. In fiscal year 2011, which ended Sept. 30, the SEC collected $2.81 billion in disgorgement and penalties, down from $2.85 billion in fiscal 2010.Notably, the SEC broke out enforcement statistics for the first time for violations of the Foreign Corrupt Practices Act, which bars bribing foreign officials for business purposes. The SEC recorded 20 enforcement actions in fiscal year 2011.

via SEC Breaks Enforcement Record, Begins Tracking FCPA Separately – Corruption Currents – WSJ.

Global Data Privacy in a Networked World (Graham Greenleaf) | SSRN

Abstract:

This article analyses the global growth of data privacy (‘data protection’) laws over 40 years from a number of perspectives. After outlining the extent of global expansion, the influence of international agreements concerning privacy is identified as one reason for their relative consistency and stability. The nature of United States exceptionalism is discussed briefly, as is the failing APEC alternative. The fundamental elements of data privacy principles, and data privacy enforcement, as seen through these agreements and national legislation, is summarized. The points on which the European Union is proposing to strengthen both principles and enforcement are noted. The extent to which these principles and enforcement mechanisms can cope with the new challenges of a networked world are illustrated through two examples: social networking systems (SNS) and cloud computing.

Bennett and Raab (2006), in the most systematic global review of data privacy regulation, presented their ‘main research question’ as whether there was a ‘race to the bottom’, a ‘race to the top’, or something else, in the global development of data privacy protection. They correctly caution that the existence and formal strength of a data privacy law is only one factor by which we should measure data privacy protection in a country, and two other key dimensions are the effectiveness of enforcement and the extent of surveillance (discussed below). Therefore, globally, there is more than one race to the top or bottom. They concluded that the most plausible future scenario (the Bennett-Raab thesis) was ‘an incoherent and fragmented patchwork’, ‘a more chaotic future of periodic and unpredictable victories for the privacy value’. So Bennett and Raab found some ‘upward’ global trajectory influenced significantly by the EU Directive, but sufficiently weak in the mid-2000s that the countervailing weakness of the APEC approach was enough to make the future quite unpredictable.

Half a decade later, it can be argued that there is now a clearer ‘upward’ global trajectory than Bennett and Raab found, provided we keep clear that we are only talking about the existence and formal strength of data privacy laws, not the other factors. The article shows that by mid-2011 there are 27 data privacy laws outside Europe (as many as there are EU member states), and a handful of further Bills expected to be enacted soon. Of course, the number of data privacy laws can only be part of the measure, but in Africa, Latin America and even in Asia the European Directive has become the single most significant influence on the content of those laws, and leads to them embodying a relatively high standard of data protection principles. The lower standards of the APEC Privacy Framework have not served to ‘slow or even reverse’ this trend as Bennett and Raab and others (myself included) feared. A handful of new data privacy laws across the globe each year, with EU-influenced privacy principles, and revisions of some existing weaker laws to strengthen them, does not constitute a ‘race’ in most uses of the term, but nor does it any longer look like such a ‘halting and meandering walk’ as Bennett and Raab found. It may not be a race, but data privacy laws do have a global trajectory, namely expansion at an increasing rate with principles more commonly influenced by the EU Directive than any other source.

But as Bennett and Raab conclude, there is not one race to the top or bottom that we must consider. It is better to say that the various dimensions on which we must measure the health of privacy as a value, including data privacy principles, their enforcement, and surveillance practices. These dimensions, as they say, differ from place to place and time to time, and are not readily ‘balanced’ into one overall measure. Nevertheless, considered solely on the dimension of the global spread of EU-like data privacy laws, the Bennett-Raab thesis no longer appears correct. On the other dimensions of effective enforcement and limiting surveillance, there are no obvious global trajectories which could give rise to similar optimism.

download @  Global Data Privacy in a Networked World by Graham Greenleaf :: SSRN.

A new landscape for competition enforcement: new challenges via e-discovery? | Gregory P. Bufithis, Esq. – JDSupra

Almost a month before the adoption of a package of measures improving the system of competition enforcement in Europe, we attended the 15th Annual Competition Conference presented by the International Bar Association Antitrust Committee … and what better place than in Florence, Italy.

The IBA conference is one of those rare settings where you can discuss current developments in merger law and enforcement, the next steps in antitrust litigation, and the challenges posed by the growing internationalisation of cartel investigations.

And the speakers and attendees are the major players in the field. Joaquin Almunia, EU Commission Competition Commissioner, gave the keynote speach with subsequent presenters including U.S. Federal Trade Commissioner Edith Ramirez, Andreas Mundt who is President of the Bundeskartellamt in Bonn, and Sharis Pozen, Acting Assistant Attorney General, U.S. Department of Justice Antitrust Division.

Please see full article below for more information.

via A new landscape for competition enforcement: new challenges via e-discovery? | Gregory P. Bufithis, Esq. – JDSupra.