Exploring SEC Cybersecurity Disclosure Guidance

Date / Time


This is a virtual event, accessible online and over phone. Access instructions will be provided after registration.


This complimentary webinar is produced in connection with the latest Bloomberg Law Special Report: A Look Ahead at Federal Regulations.  

To meet evolving SEC compliance and disclosure requirements, companies need to customize their cybersecurity program controls. Join us for an informative 60-minute webinar to learn how to assess and customize your cybersecurity disclosure controls and procedures.

Bloomberg Law will convene industry leaders to discuss the nuances of the latest regulatory changes and highlight the most important updates from the SEC. Our panel will also break down how to anticipate cybersecurity risks, what to do when a data breach occurs, and how to manage ensuing litigation.

Educational Objectives:
• Understand the latest guidance and updates about cybersecurity disclosure from the SEC
• Learn to anticipate cybersecurity risks and manage a data breach
• Discover how to develop an effective cybersecurity disclosure program
• Gain strategies for managing litigation caused by data breach

Who would benefit most from attending this program?
Securities attorneys, litigation attorneys, legal practitioners advising companies of all sizes, compliance officers and other managers responsible for regulatory matters.

This webinar is made possible with the support of the following sponsors:



Peter Rasmussen
  • Senior Legal Analyst
  • Bloomberg Law

N. Peter Rasmussen is a Senior Legal Analyst with Bloomberg Law, concentrating on corporate transactions and federal securities law. He is a graduate of DePauw University, the Graduate College of Liberal Arts of the University of Illinois at Chicago and the University of Illinois College of Law.

Brian V. Breheny
  • Partner
  • Skadden, Arps, Slate, Meagher & Flom LLP

Brian V. Breheny heads the firm’s SEC Reporting and Compliance practice.  He concentrates his practice in the areas of mergers and acquisitions, corporate governance, and general corporate and securities matters and advises numerous clients on a full range of SEC reporting, compliance and corporate governance matters, including advising clients on compliance with the provisions of the Dodd-Frank Act, the SEC’s tender offer rules and regulations and the federal proxy rules. 

Prior to joining Skadden in 2010, Mr. Breheny held a number of leadership positions in the Division of Corporation Finance at the U.S. Securities and Exchange Commission. He began as chief of the SEC’s Office of Mergers and Acquisitions in July 2003, and in November 2007 he became deputy director, legal and regulatory policy.  

Continuing Education

1.0 General COA, 1.0 CLE
Basic understanding of the SEC regulatory environment.
Production Date: