Carl Ayers
RIAs are under no obligations under the Advisers Act to return a client's forms for these legal actions
Section 18(f)(1) generally prohibits a registered open-end investment company or series thereof (“Fund”) from issuing any “senior security.” Section 18(g) of the Investment Company Act ...
The staff has been asked whether an investment company registered under the Investment Company Act of 1940 ("Investment Company Act") or a company that has ...
Merrill Lynch settled this case that it violated the Advisers Act books and records rule by failing to maintain records of the offer to deliver ...
Start gathering your documents as soon as you receive the letter – the SEC’s notice that its examiners are coming and the list of materials ...
This is the widely-publicized case of a number of Fidelity broker-dealer reps who settled for accepting extravagant gifts and entertainment. This case is from 2008.
This is a rule governing short selling around a public offering