What makes one firm – and the various professionals who represent it – live and breathe by the book, while…
Author: Victoria Angerthal
For ERISA plan fiduciaries who thought they were being responsible and addressing participants’ demands by including investments in employee retirement…
FINRA recently deployed a new security feature for users of the Web CRD and IARD systems which is being rolled…
Sometimes it seems that enough is never really enough. While compliance officers have grown intimately familiar with SEC Rule 206(4)-7…
Rule 206(4)-7 requires each registered adviser to review its policies and procedures no less frequently than annually, to determine their…
Compliance as a profession continues to evolve. With Enron, Bernie Madoff and numerous other failures paving the way for rulemaking…
United States and European Union reporting requirements imposed on investment managers have exploded since the Global Financial Crisis and, with…