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Changes to Massachusetts IAR Registration?

posted in: Registration & Licensing | 0

On March 15, 2013, the Massachusetts Securities Division (the “Division”) filed regulations proposing amendments with respect to investment adviser representative (“IAR”) applications.  If made effective, the IAR application process would change and may affect your firm’s registration process for all … Continued

New SEC Regulation SCI

posted in: Compliance | 0

The SEC has unanimously proposed new rules to require certain key market participants to have comprehensive policies and procedures in place surrounding their technological systems. The SEC’s proposal called Regulation SCI would replace the current voluntary compliance program with enforceable … Continued

Adviser Standards of Conduct

posted in: Code of Ethics | 0

The SEC has recently published a request for data and other information to assist the agency in considering whether to make new rules about the standards of conduct and regulatory obligations for broker-dealers and investment advisers when they provide personalized … Continued

SEC Risk Alert – Custody

posted in: Alert!, Custody | 0

The alert by the SEC’s Office of Compliance Inspections and Examinations (OCIE) comes after a review of recent examinations where significant deficiencies were identified showed custody-related issues in about one-third of the firms examined. The advisers’ deficiencies included: Failure to … Continued

Setting SEC Exam Priorities

posted in: SEC Examinations | 0

One of the more interesting aspects of the recent National Exam Program release – Examination Priorities for 2013 – is that the priorities have been set by the SEC staff and not by the SEC itself.  The exam priorities and … Continued

Compliance Alert – SEC Exam Priorities

posted in: Alert!, SEC Examinations | 0

Dear Compliance Professional,   The National Examination Program (NEP) of the SEC’s Office of Compliance Inspections and Examinations recently released its examination priorities for 2013. The NEP release addresses both market-wide priorities and priorities for each of the NEP’s four … Continued

SEC Examination Priorities for 2013

posted in: SEC Examinations | 0

The National Examination program (NEP) of the Office of Compliance Inspections and Examinations (OCIE) published its examination priorities to communicate with investors and registrants about areas that are perceived by the staff to have heightened risk, and to support the … Continued

Arbitration Clauses

posted in: Client Relations | 0

The state of Massachusetts, in a public letter, is calling on the U.S. Securities and Exchange Commission to prohibit Registered Investment Advisers from inserting mandatory arbitration clauses in their contracts, saying such clauses are widespread, not always in the best … Continued

State Privacy Laws & Social Media

posted in: Advertising & Marketing | 0

An increasing number of states are passing privacy laws that conflict with book and record keeping requirements of SEC-registered investment advisers.  If a social media post is considered advertising, an SEC-registered investment adviser is required to keep a record of … Continued

Overly Helpful?

posted in: Compliance | 0

Has anyone else noticed the increased frequency with which regulators have been communicating with investment advisers? This is occurring on both the federal and state level. While I do applaud their efforts, the indiscriminate nature of the communications tends to … Continued

SAA Entitlement Certification

posted in: Registration & Licensing | 0

Even though you may get a message from FINRA to the contrary, investment advisory firms with only one registered investment adviser do not have to go through the annual SAA certification process. In fact, you can’t.

Mary Jo White

posted in: Compliance | 0

President Barack Obama has nominated former federal prosecutor Mary Jo White as chairman of the Securities and Exchange Commission. White, who is in private practice, was the first woman to serve as U.S. attorney for the Southern District of New … Continued

Cherry-Picking

posted in: Trade Practices | 0

So what is cherry-picking?  The SEC gives a good description in a recent enforcement case (In the Matter of MiddleCove Capital, LLC and Noah L. Meyers): “Myers executed his cherry-picking scheme by unfairly allocating trades that had appreciated in value … Continued

BDs Closer to Fiduciary Rule

posted in: Client Relations | 0

The Securities and Exchange Commission plans to issue a “concept release,” which will also likely include a request for information, in the first quarter regarding its rule to put brokers under a fiduciary mandate.