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Results 1 - 25 of 174 matches Sort Results By : Published Date | Title | Company name
Effective Content Analysis for Email Inspection & Control
By : Nemx Software Corporation Published Date: Mar 14, 2007
Organizations are struggling to enforce both mandatory regulatory rules as well as internal corporate policies governing email content and distribution.  One of the biggest obstacles is determining whether or not the content of an email, or its attachment, is subject to any policy rules or restrictions.  This whitepaper describes the techniques required to perform intelligent, accurate content analysis and the shortcomings of most current approaches.
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Nemx Software Corporation
Email and IM Prep for Your Next Regulatory Audit
By : mindSHIFT Published Date: Jul 30, 2007
A millisecond of downtime can mean millions of dollars. Maintaining compliance while ensuring your firm has the required speed and uptime can be daunting. Learn what you can do with your email and instant messages to prepare for your next regulatory audit.
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mindSHIFT
Effective Web Policies: Ensuring Staff Productivity and Legal Compliance
By : Sophos Published Date: Apr 10, 2008
Employees increasingly expect to use the internet at work for their own personal use in return for longer hours, working from home and interrupting vacations. This has a number of security, productivity, bandwidth and legal ramifications that require organizations to create and implement a web usage policy that is backed up by effective web filtering tools.
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Sophos
Effective Email Policies: Why Enforcing Proper Use is Critical to Security
By : Sophos Published Date: May 07, 2008
The unmonitored and unguarded use of email by employees poses a multitude of risks to organizations. The distribution of inappropriate or offensive content, malicious emails, and the risks of data leakage all threaten working environments, IT resources and an organization's reputation. A comprehensive, transparent and enforceable email acceptable use policy (AUP), combined with robust email security solutions, dramatically reduces exposure to these risks.
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Sophos
FISMA Compliance: Making the Grade
By : Qualys Published Date: Jan 30, 2006
A Qualys Guide to Measuring Risk, Enforcing Policies, and FISMA compliance regulations.
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Qualys
Guide to Effectively Remediate Network Vulnerability and Policy Compliance
By : Qualys Published Date: Aug 09, 2007
Consistent, ongoing execution of vulnerability management and policy compliance is difficult, if not impossible to do on a manual basis. There are simply too many "moving parts" to juggle and act on in a timely and cost-effective manner. This guide provides a step-by-step guide for automating the vulnerability and compliance workflow process.
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Qualys
Governance, Risk and Compliance: Realizing the Value
By : SAP Published Date: Jan 11, 2008
Explore current thinking about how technology can support governance, risk, and compliance initiatives. While several approaches are available, a single cross-enterprise solution can support a cohesive strategy for monitoring, identifying, and managing risk -- and simplify the process.
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SAP
Getting in Compliance With Government Data Regulations By Leveraging Online Security Technology
By : VeriSign Published Date: Jul 16, 2008
Learn how to stay in compliance with various government data regulations when you read this white paper from VeriSign, "Getting in Compliance With Government Data Regulations By Leveraging Online Security Technology."
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VeriSign
How One Company Conquered the Audit Challenge
By : Qualys Published Date: Aug 08, 2006
The Marine Corps Community Services (MCCS) manages a global network that serves Marines and their families. MCCS chose a managed service to conduct comprehensive vulnerability assessments and prioritize patches and fixes.
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Qualys
How Can Identity and Access Management Help Me with PCI Compliance While Improving Overall Security?
By : CA Published Date: Dec 31, 2007
PCI Compliance has become a business requirement for any company involved in the processing of credit card information. It requires strong security controls over all systems and applications that process or store cardholder information. These controls serve to manage vulnerabilities and to control access to all confidential information.
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CA
Internal Email Control: Its Essential Role in Compliance Management
By : Nemx Software Corporation Published Date: Oct 02, 2006
For most  organizations email compliance management is synonymous with outbound email control. This white paper describes how internal email control is crucial to an organization's compliance mandate and the underlying technical architecture required to do it effectively.

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Nemx Software Corporation
Information Security: It's Not an Option
By : IBM Published Date: Oct 05, 2004
Technology has helped financial institutions work harder and faster than ever before. The downside: Sensitive data is more vulnerable than ever before. Financial Insights offers ideas and solutions to improve Information Security (IS). Click to learn more on protecting your most important assets, your data.
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IBM
Making Gramm-Leach-Bliley Security Compliance Fast & Easy
By : Qualys Published Date: Jan 30, 2006
Security provisions of Gramm-Leach-Bliley Act are complex and process intensive. Our free guide explains how on-demand security audits makes Gramm-Leach-Bliley Act compliance easier to achieve.
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Qualys
Mobile Device Security: Securing the Handheld, Securing the Enterprise
By : Motorola Good Technology Published Date: Mar 27, 2007
Mobile devices represent a tremendous productivity advantage for today’s mobile worker. However, IT organizations must give consideration to the deployment of device security policies in order to provide the level of security that enterprises require.
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Motorola Good Technology
Meeting PCI DSS Merchant Requirements with a WatchGuard Firebox
By : WatchGuard Technologies Published Date: Feb 14, 2008
While some firewall companies may claim their products are “PCI Compliant,” there’s no such thing. Compliance requires more than just plugging in a security appliance and calling it good: you need a network design with physical and logical boundaries that allow you to segregate and monitor your PCI-compliant operating environment.
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WatchGuard Technologies
Meeting the PCI Application Security Requirements: Building Compliance In
By : Ounce Labs Published Date: Nov 15, 2007
The PCI DSS is demonstrably becoming a de facto standard of due care for any organization responsible for the privacy and integrity of data. The increased focus on application security in the latest revisions of the PCI DSS can be traced directly to many of the recent high profile breaches, where insecure applications have proved to be the point of access for hackers, and the source of data loss.
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Ounce Labs
NAC: Managing Unauthorized Computers
By : Sophos Published Date: Apr 05, 2007
Unauthorized endpoint computers pose significant security risks to organizations. Where underlying network-based enforcement is available, network access control (NAC) solutions provide detection and implementation of security policies to minimize these risks. However, in some environments the network cannot provide this enforcement.
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Sophos
NAC: Bridging the Network Security Gap
By : Sophos Published Date: Apr 05, 2007
Enterprises must take a robust policy-driven approach to enforcing security compliance in order to protect against network vulnerabilities and meet regulatory requirements. This paper examines technology and initiatives designed to capitalize on existing investments and prevent any gaps in security.
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Sophos
NAC at the Endpoint: Control Your Network Through Device Compliance
By : Sophos Published Date: May 23, 2008
Protecting IT networks used to be a straightforward case of encircling computers and servers with a firewall and ensuring that all traffic passed through just one gateway. However, the increase in mobile workers, numbers and type of device and the amount of non-employees requiring network access, has led to a dissolving of that network perimeter.
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Sophos
Outbound Email and Data Loss Prevention in Today's Enterprise, 2008
By : Proofpoint Published Date: May 02, 2008
How concerned are companies about the content of email leaving their organizations? And how do companies manage the legal and financial risks associated with outbound email? To find out, Proofpoint and Forrester Consulting (a division of leading analyst firm Forrester) conducted an online survey of technology decision makers at  large companies — in the US, UK, Germany, France and Australia.
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Proofpoint
5 Steps Every CIO Should Follow to Increase Operational Maturity through IT Automation
By : Stratavia Published Date: Nov 18, 2007
This whitepaper is directed to technology executives and team members who are looking to increase the efficiency and operational maturity of their IT operations. It will discuss in detail the following five steps, each required to fully realize the potential of your technology investments.
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Stratavia
7 Essential Steps to Achieve, Measure and Prove Optimal Security Risk Reduction
By : Qualys Published Date: Jun 11, 2007
Whether protecting five servers or 5,000, measuring the security status of your infrastructure and your organization's ability to rapidly mitigate emerging threats needs to be continuously monitored and measured. This paper details the essential aspects of putting into place a measurable and sustainable vulnerability management program.
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Qualys
Reducing the Burden of Administration for Email Content Control, Compliance & Policy Enforcement
By : Nemx Software Corporation Published Date: Sep 18, 2007
Email compliance, security and content policy enforcement is a growing priority for all organizations.  Email content control solutions provide real-time scanning of email traffic and provide the foundation for proactive enforcement of regulatory and corporate policies.  However, the administrative burden associated with policy management imposed by most such products is significant.
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Nemx Software Corporation
Rogue IT: Compliance of IT in the Capital Markets
By : Tideway Systems Published Date: Nov 10, 2005
A world class IT organization needs to be better than even the regulators require – and good IT governance doesn't have to tie the IT department up in red tape. Judicious application of IT best practices, frameworks and methodologies can help achieve this, based on an accurate picture of the IT environment, at which point regulatory compliance becomes a happy side effect. Find out how you can have an up-to-date true view of your infrastructure on a daily basis – not just at a point in time by reading this white paper.
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Tideway Systems
Regulations Shift Focus on Outbound Email Security
By : Proofpoint Published Date: Nov 02, 2007
Email is the lingua franca of business today. It is the conduit that allows employees to share information, companies to work with partners, and increasingly, provides a way for companies and their customers to interact. Enterprises today deal with an ever-increasing number of email-related threats. Most are familiar with the problems of virus-infected email attachments and productivity-draining spam, but now companies must also address the threats posted by outbound email.
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Proofpoint
 
Results 1 - 25 of 174 matches Sort Results By : Published Date | Title | Company name
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