On Feb. 24, 2015, the SEC announced charges against Goodyear Tire & Rubber Company for violating the Foreign Corrupt Practices Act (FCPA). These charges involve Goodyear subsidiaries in Kenya and Angola paying bribes to government and private-sector workers in exchange for sales in each country. As a result, Goodyear was sanctioned $16.2 million by the SEC. The heart of the SEC’s investigation found that Goodyear violated books and records rules when officials of its African subsidiaries falsely recorded $3.2 million in bribes as legitimate expenses over a four (4) year period. In charging and sanctioning Goodyear, the SEC found that Goodyear “ did not prevent or detect these improper payments because it failed to implement adequate FCPA compliance controls at its subsidiaries in sub-Saharan Africa.” The sanctions against Goodyear consist of $14.1 million of disgorgement and $2.1 million in pre-judgment interest. No civil fine was assessed and Goodyear did not admit or deny wrongdoing in entering into the administrative resolution. Goodyear is also required to report its FCPA remediation efforts to the SEC over the next three (3) years. The tone of the SEC Order is premised upon Goodyear failing to engage in an appropriate level of due diligence when it purchased a majority stake in its Kenyan subsidiary, Treadsetters Tyres Ltd., in 2006. This theme highlights an enforcement issue the government has been giving increased attention in the FCPA area – “Due diligence in foreign M&A work must be rigorous.” Specifically, the SEC’s order found, “Goodyear did not detect or prevent these improper payments because it failed to conduct adequate due diligence when it acquired Treadsetters, and failed to implement adequate FCPA compliance training and controls after the acquisition.” This case also illustrates that early and significant cooperation can go a long way toward remediating potential penalties for FCPA violations. Indeed, Goodyear suffered no fine as part of sanctions in this investigation. The SEC specifically made note of the early and overwhelming cooperation, together with remedial efforts, which Goodyear undertook as a result of its investigation. Goodyear has divested its ownership interest in Treadsetters and is in the process of divesting all interest in its Angolan subsidiary. It has initiated disciplinary action against employees who had oversight responsibility in the sub-Saharan African region and has implemented improvements to its compliance plan specific to those operations. This case highlights several aspects of FCPA enforcement for companies doing business abroad: (1) M&A due diligence must be undertaken in a rigorous manner; (2) once a foreign company is acquired, compliance programming specific to the country and region of the acquired company must be instituted immediately. Management personnel overseeing a new acquisition need to be adequately trained and made well aware of their responsibilities for anti-corruption compliance; and (3) early and substantial cooperation with enforcement officials, together with instituting remedial measures, can be persuasive in mitigating penalties for FCPA violations.
RELATED ARTICLES
How the SEC Widens Net Over Ethereum
October 14, 2022 | The GEE Blog, SEC
Digital Asset Businesses Amp Up Their Compliance Measures to Avoid Insider Trading Actions
August 26, 2022 | The GEE Blog, Department of Justice, SEC
Is Crypto a Security? Insider Trading Case Leads to DOJ, SEC Scrutiny
July 27, 2022 | The GEE Blog, SEC, Insider Trading
Fifth Circuit Holds That SEC Administrative Law Courts Are Unconstitutional
May 23, 2022 | The GEE Blog, SEC
Will SEC Become the ‘Securities and Environment Commission?’
March 30, 2022 | Environmental, Enforcement, The GEE Blog, SEC
How the SEC Widens Net Over Ethereum
October 14, 2022 | The GEE Blog, SEC
Digital Asset Businesses Amp Up Their Compliance Measures to Avoid Insider Trading Actions
August 26, 2022 | The GEE Blog, Department of Justice, SEC
Is Crypto a Security? Insider Trading Case Leads to DOJ, SEC Scrutiny
July 27, 2022 | The GEE Blog, SEC, Insider Trading
Fifth Circuit Holds That SEC Administrative Law Courts Are Unconstitutional
May 23, 2022 | The GEE Blog, SEC
Will SEC Become the ‘Securities and Environment Commission?’
March 30, 2022 | Environmental, Enforcement, The GEE Blog, SEC
DOJ Issues Expedited FCPA Opinion, Shows Willingness to Communicate With Requestors
February 7, 2022 | The GEE Blog, FCPA, Department of Justice
The Enforcement Climate is Changing for ESG Disclosures
January 26, 2022 | Environmental, The GEE Blog
SEC Proposes Amendments to the Requirements of Rule 10b5-1 Trading Plans
December 22, 2021 | The GEE Blog, SEC, Financial Regulation, Insider Trading
SEC Announces FY2021 Results With 7 Percent Increase in New Enforcement Actions
November 30, 2021 | The GEE Blog, SEC
How Will the SEC Drive ESG Progress? First, We Measure
August 2, 2021 | Environmental, Environmental News, SEC
ESG Investing Guidance from the U.S. Securities and Exchange Commission
July 29, 2021 | The GEE Blog, SEC
Whistleblower Awards from the U.S. Securities and Exchange Commission
May 24, 2021 | The GEE Blog, SEC
SEC Emerges as Main Regulator of Cryptocurrency
May 14, 2021 | The GEE Blog, Financial Regulation, SEC
SEC Whistleblower Program Continues Record-breaking Performance Amid New Chair's Support
April 28, 2021 | The GEE Blog, SEC
Gary Gensler to Lead SEC
April 16, 2021 | The GEE Blog, SEC
Half a Loaf: Congress Extends the Statute of Limitations on Some SEC Remedies
January 14, 2021 | The GEE Blog, SEC
SEC Again Highlights Risks of Investing in Chinese Securities
December 3, 2020 | The GEE Blog, SEC, Financial Regulation
SEC Steps Up Enforcement for Unsuitable Sales of Complex ETPs
November 18, 2020 | The GEE Blog, Financial Regulation, SEC
President’s Working Group Attempts to Increase Transparency in Chinese Investments
September 2, 2020 | The GEE Blog, SEC
SEC Highlights COVID-Related Risks Facing Broker-Dealers and Investment Advisers
August 31, 2020 | The GEE Blog, SEC, Financial Regulation
DOJ’s First FCPA Opinion Release in Six Years Highlights Long-Standing Principles
August 21, 2020 | The GEE Blog, FCPA
SEC Adopts Rule Amendments Regarding Proxy Voting Advice
July 29, 2020 | The GEE Blog, SEC
SEC Hosts Roundtable to Discuss Risks Associated With U.S.-Listed Chinese Companies
July 14, 2020 | The GEE Blog, SEC, Financial Regulation
Supreme Court Misses Its Chance To Define Limits of SEC’s Enforcement Authority
June 30, 2020 | The GEE Blog, SEC
First-Time Supreme Court Advocate Appointed to Argue the SEC’s Case in Lucia
January 23, 2018 | SEC, The GEE Blog
SEC’s Appointments Clause Dilemma Gets Worse
January 16, 2018 | SEC, The GEE Blog
SEC Scrutiny Brings Sanity to Hot ICO Market
November 9, 2017 | SEC, The GEE Blog
Who’s Watching the Watchdog? SEC Deals With Its Own Data Breach
September 25, 2017 | SEC, The GEE Blog
Don't Let DOJ Defections Fool You: Corporate Conduct Still in the Crosshairs
September 6, 2017 | Department of Justice, The GEE Blog
Corporate Law Alert - SEC Issues Guidance on Initial Coin Offerings and Cryptocurrencies
August 2, 2017 | The GEE Blog, SEC
SEC Chairman Announces 8 Core Principles
July 31, 2017 | SEC, The GEE Blog
U.S. Supreme Court Delivers Blow Limiting SEC Disgorgement Power
June 12, 2017 | SEC, The GEE Blog
Recently Announced: DOJ Will Extend the FCPA Pilot Program
March 28, 2017 | Department of Justice, The GEE Blog
The SEC’s Appointments Clause Dilemma
January 24, 2017 | Case to Watch, SEC, The GEE Blog
SEC Changes Some of Its Procedural Rules After Constitutional Challenges
September 7, 2016 | SEC, The GEE Blog
D.C. Circuit Affirms Constitutionality of SEC’s In-House Tribunals
September 2, 2016 | SEC, The GEE Blog
Accounting Fraud Getting Increased Attention from the SEC and Class Action Counsel
April 29, 2016 | SEC, The GEE Blog
Department of Justice Rolls Out FCPA Enforcement Pilot Program
April 8, 2016 | Department of Justice, FCPA, The GEE Blog
SEC Completes Municipal Underwriter “Enforcement Sweep”
February 8, 2016 | SEC, The GEE Blog
SEC Reduces Dodd-Frank Whistleblower Award for "Unreasonable Delay," Announces Policy of "More Heavily" Punishing Delay After Award Program's Implementation
November 16, 2015 | SEC, The GEE Blog
Regulation S-P Violation: Are You Prepared For A Cyber-Security Breach?
October 8, 2015 | SEC, The GEE Blog
INSIDER TRADING AND ADMINISTRATIVE COURTS – MORE ON TWO HOT TOPICS THAT HAVE NOW CONVERGED
September 28, 2015 | Insider Trading, SEC, The GEE Blog
WHY NEWMAN MIGHT NOT BE HEADED TO THE SUPREME COURT
August 11, 2015 | Insider Trading, The GEE Blog
NINTH CIRCUIT SLAPS BACK REMOTE TIPPEE’S NEWMAN DEFENSE
July 15, 2015 | Insider Trading, The GEE Blog
U.S. v. Sigelman: Another FCPA Enforcement Setback for the DOJ
June 25, 2015 | FCPA, The GEE Blog
THE BENEFITS OF COOPERATION – HYPERDYNAMICS AVOIDS INDICTMENT
May 29, 2015 | FCPA, The GEE Blog
THE SEC EXPLAINS ITS RATIONALE IN FORUM SELECTION IN CONTESTED CASES
May 26, 2015 | SEC, The GEE Blog
THE SEC EXPLAINS ITS RATIONALE IN FORUM SELECTION IN CONTESTED CASES
May 22, 2015 | SEC, The GEE Blog
Self-Reporting: A Wise Strategy or Chasing Unicorns?
April 28, 2015 | SEC, The GEE Blog
Recent Enforcement Trends in the Commodity Markets (Part 1)
April 13, 2015 | Financial Regulation, The GEE Blog
Uniform Fiduciary Standards on the Horizon for Brokers and RIAs
April 10, 2015 | SEC, The GEE Blog
Top 10 Takeaways from ABA White Collar Crime Conference 2015 (Part 1)
March 17, 2015 | The GEE Blog
“HELLO, NEWMAN” -- GOVERNMENT CONTINUES TO LITIGATE REVERSED INSIDER TRADING CONVICTIONS
March 9, 2015 | Insider Trading, The GEE Blog
PART I - CORRUPTION ENFORCEMENT IN BRAZIL: WHAT DOES IT LOOK LIKE?
February 23, 2015 | SEC, The GEE Blog
Chasing the Gatekeepers
January 22, 2015 | SEC, The GEE Blog
DODD-FRANK WHISTLEBLOWER ACTIVITY GETTING EVEN HOTTER
September 23, 2014 | SEC, The GEE Blog
DODD-FRANK WHISTLEBLOWER LITIGATION HEATING UP
September 10, 2014 | SEC, The GEE Blog
Foreign Corrupt Practices Act - Keeping the Wolf at Bay
September 5, 2014 | FCPA, The GEE Blog
Regulators And Prosecutors Discuss Securities and Commodities Enforcement Priorities
August 15, 2014 | SEC, The GEE Blog
JUDGE RAKOFF CONTINUES TO QUESTION ADEQUACY OF JUDICIAL OVERSIGHT OF SEC
August 7, 2014 | SEC, The GEE Blog
Reader Responds to Recent Law Judge Blog Post
July 21, 2014 | The GEE Blog, SEC
The Gabelli Effect: How the Supreme Court’s Decision is Impacting Enforcement Actions
July 16, 2014 | SEC, The GEE Blog
REDUCING THE COST OF FCPA MONITORING
June 11, 2014 | Bank Securities Fraud, The GEE Blog
BELATED VINDICATION FOR THE SEC’S (PRIOR) SETTLEMENT POLICY
June 6, 2014 | Bank Securities Fraud, The GEE Blog
Canadian Corruption of Foreign Officials Act Update: Three Takeaways from the Cryptometics Case
June 6, 2014 | Government Investigations, Privacy, The GEE Blog
“Gatekeepers” Beware: A New Tool of the SEC
June 4, 2014 | Bank Securities Fraud, Financial Regulation, The GEE Blog
Federal Appellate Court Adopts Broad Definition of “Instrumentality” as used in the Foreign Corrupt Practices Act
May 30, 2014 | FCPA, The GEE Blog
District Court Bolsters the Five-Year Statute of Limitations Defense to SEC Civil Enforcement Actions
May 20, 2014 | Bank Securities Fraud, The GEE Blog
Here Comes Canada: Corruption Prosecutions Likely to Increase Under the Amended CFPOA
April 22, 2014 | FCPA, Government Investigations, The GEE Blog
Disgorgement in the Second Circuit: Equitable Relief or Punishment?
April 15, 2014 | Bank Securities Fraud, The GEE Blog
Alert: SEC creates team to examine private equity and hedge funds
April 9, 2014 | The GEE Blog
My Partner Left Me for the Government! DOJ’s First Opinion Procedure Release of 2014 Approves Buyout of Minority Shareholder-Turned-Government Official
March 25, 2014 | FCPA, The GEE Blog
D.C. District Court Order Provides a Warning About Attorney-Client Privilege Protection for Internal Investigations
March 20, 2014 | Internal Investigations, The GEE Blog
Heightened SEC/DOJ FCPA Standards Offer Risks and Opportunities to Companies and Their Lawyers
March 18, 2014 | Financial Regulation, The GEE Blog
Is the FTC The Latest Weapon of Aggressive Short Sellers?
March 17, 2014 | Government Investigations, The GEE Blog
Top 10 Takeaways from ABA White Collar Crime Conference 2014 (Part 2 of 2)
March 13, 2014 | Government Investigations, The GEE Blog
Top 10 Takeaways from ABA White Collar Crime Conference 2014 (Part 1 of 2)
March 12, 2014 | Government Investigations, The GEE Blog
SEC’s New Priorities Continue to Come into Focus: Admissions of Liability
March 11, 2014 | Bank Securities Fraud, The GEE Blog
The SEC and Its “Strange Bedfellows” Argue Against Investors Seeking Damages for Fraud – Are Rebuffed by the Supreme Court
March 3, 2014 | Bank Securities Fraud, The GEE Blog
The CFTC: Armed and Dangerous
February 13, 2014 | Financial Regulation, Government Investigations, The GEE Blog
SEC Continues to Struggle in Insider Trading Jury Trials
February 7, 2014 | Insider Trading, The GEE Blog
Securities Regulators’ Increasing Use of Real-Time Monitoring Systems - Is Skynet Next?
January 31, 2014 | Financial Regulation, Government Investigations, Insider Trading, The GEE Blog
Going South: What U.S. Companies Need to Know About the FCPA and Doing Business in Latin America
January 30, 2014 | Criminal Procedure, Government Investigations, The GEE Blog
Welcome to The GEE Blog
January 18, 2014 | The GEE Blog
Let the Light of Day Shine
January 18, 2014 | Financial Regulation, The GEE Blog
Barnes & Thornburg Legal Alert - Government Regulators Continue to Make Insider Trading a Trial Priority
January 16, 2014 | Financial Regulation, The GEE Blog
SEC Highlights 2013 Accomplishments and Outlines 2014 Enforcement Priorities
January 2, 2014 | Financial Regulation, The GEE Blog
RELATED PRACTICE AREAS
Subscribe
Do you want to receive more valuable insights directly in your inbox? Visit our subscription center and let us know what you're interested in learning more about.
View Subscription Center