Check out our Flash Reports for the latest SEC- and compliance-related news, trends, and insights.
The final compliance deadline of Amended Reg S-P is finally here. For smaller entities, who manage less than $1.5B in AUM, there are less than two months until the June 3, 2026, deadline.
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The SEC released an Administrative Order to Cease and Desist against a dually registered investment adviser/broker-dealer and its sole principal. The SEC sanctioned these individuals for violations of the Investment Advisers Act of 1940 and the Securities Exchange Act of 1934.
From 2013 to 2016, the SEC found that three traders of Citigroup Global Markets Inc. The SEC released its charges against Citigroup for books and records violations, inadequate internal controls and poor trade administration.