IA Rules & Regulatory Actions

Judge in a Courtroom
To deceive his clients about the fact that he had stolen their money, Couture created fake account statements that purported to reflect investments at Legacy ...
The SEC adopts rule and form amendments that require open-end management investment companies to transmit concise and visually engaging annual and semi-annual reports to shareholders ...
Horse drawn carriage in front of a building, Santa Maria la Mayor, Ronda, Spain
Goldman "did not adopt written policies and procedures governing how GSAM FE evaluated ESG factors as part of the investment process until some time after ...
The adviser did not have procedures or controls in place to identify or monitor cross trades involving RICs. It also did not conduct any testing ...
The proposed rule would require advisers to conduct due diligence prior to engaging a service provider to perform certain services or functions. It would further ...
The agency touts 760 total enforcement actions in FY '22, a 9% increase over the prior year
EXAMS encourages broker-dealers to review their policies and procedures related to the new and enhanced information requirements under Rule 606 and reevaluate the accuracy and ...
The SEC adopts amendments to the recordkeeping rules applicable to broker-dealers, security-based swap dealers, and major security-based swap participants
This is the SEC's new proposed rule that would require advisers to conduct due diligence and monitoring of service providers
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