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SEC Charges Three Firms With Violating Custody Rule

posted in: Custody | 0

 The Securities and Exchange Commission today sanctioned three SEC-registered investment advisory firms for violating the “custody rule” that requires them to meet certain standards when maintaining custody of their clients’ funds or securities. SEC investigations following referrals by agency examiners … Continued

SEC Audits – 6 Items

posted in: SEC Examinations | 0

According to Junxure’s Greg Friedman a SEC audit is all about the data and how to get to it fast, specifically these six: 1. Client lists — current clients, ex-clients, wrap-fee clients, related persons, etc. 2. Contact lists — vendors, advisors … Continued

SEC vs. Hedge Funds (Guess Who is Winning)

posted in: SEC Examinations | 0

In her recent talk before the Managed Funds Association, SEC Chair Mary Jo White detailed how the SEC has been “active” in bringing enforcement cases involving private funds.  Chair White has obviously mastered the art of understatement. After all, does … Continued

SEC Guidance on Reporting Financial Abuse of Older Adults

posted in: Alert! | 0

Seven federal regulatory agencies today issued guidance to clarify that the privacy provisions of the Gramm-Leach-Bliley Act generally permit financial institutions to report suspected elder financial abuse to appropriate authorities. The Gramm-Leach-Bliley Act generally requires that a financial institution notify … Continued

Can It Get Any Worse Than This?

posted in: SEC Examinations | 0

 The Securities and Exchange Commission today charged a father and son in Lexington, S.C., with operating a fraudulent investment program designed to illegally profit from the deaths of terminally ill individuals. The SEC alleges that Benjamin S. Staples and his … Continued

House GOP Blasts SEC

posted in: Compliance | 0

According to House Republicans, the SEC’s emphasis on regulation of private investment funds threatens to diminish its oversight of registered investment advisers. “The attention the SEC has paid to enhancing the regulatory scrutiny afforded to sophisticated investors suggests that the SEC has … Continued

A Culture of Compliance

posted in: Compliance | 0

Some really telling quotes by Harvey Pitt, the former SEC Chairman, from a NY Times article about compliance (in reference to SAC Capital Advisors and their (lack of a) culture of compliance): “When it comes to compliance, you have to … Continued

Massachusetts to Fight Reg. D Fraud

posted in: Private Investment Funds | 0

Stating that the Securities and Exchange Commission’s newly allowed hedge fund and private equity ad rule “sets in motion a much easier path for shady operators and outright crooks,” Massachusetts Securities regulator William Galvin announced Monday that he’s setting up a new … Continued

Failing to Supervise Results in Liability

posted in: Compliance | 0

The Securities and Exchange Commission today announced charges against hedge fund adviser Steven A. Cohen for failing to supervise two senior employees and prevent them from insider trading under his watch. The SEC’s Division of Enforcement alleges that Cohen received … Continued