Regulators Focus on Reg BI During 2021 Audits
The Securities and Exchange Commission adopted a new rule under [...]
The Securities and Exchange Commission adopted a new rule under [...]
Also, Act 22, known as “The Individual Investors Act” targets [...]
Sections 13(d) and 13(g) of the Securities Exchange Act of [...]
Previously on our blog we discussed situations where advisers are [...]
In January of 2012, Puerto Rico passed legislation making it [...]
As part of its routine examinations, FINRA will often coordinate [...]
Recently FINRA released a Regulatory Notice reminding member firms that [...]
One of the most critical rules under the Investment Advisers [...]
On March 10, FINRA issued Regulatory Notice 21-09 announcing FINRA’s [...]
An investment adviser must promptly update its brochure if the [...]