Skip to Main Content
US Compliance Consultants
  • Home
  • Services
    • Annual Registration Renewal
    • Investment Adviser Registration
    • Compliance Program Development
    • Compliance Support
    • Custom Services
    • Business Succession
  • About
  • News
  • Contact
  • Home
  • Services
    • Annual Registration Renewal
    • Investment Adviser Registration
    • Compliance Program Development
    • Compliance Support
    • Custom Services
    • Business Succession
  • About
  • News
  • Contact

Code of Ethics

3 Aug 2015

Alert – Insider Trading

by Scott | posted in: Alert!, Code of Ethics | 0

The purpose of this Compliance Alert is to familiarize you with key insider trading concepts and issues. What is Insider Trading? The buying or selling of a security, in breach of a fiduciary duty or other relationship of trust and … Continued

Code of Ethics, Insider Trading

Categories

  • Advertising & Marketing
  • Alert!
  • Books & Records
  • Brochure & Brochure Supplements
  • Brokerage Practices
  • Business Continuity
  • Client Relations
  • Code of Ethics
  • Compliance
  • Custody
  • ERISA
  • Portfolio Management
  • Privacy & Data Security
  • Private Investment Funds
  • Registration & Licensing
  • SEC Examinations
  • State Compliance
  • Trade Practices

Recent Posts

  • Compliance Manual Pitfalls
  • Recent SEC Examination Request Letter
  • The Role of the CCO
  • Fact Sheet – Investment Adviser Marketing
  • Summary of SEC Releases

About

Get to know us

LEARN MORE >

News

Stay up to date

LEARN MORE >

Contact

Drop us a line

LEARN MORE >

15 East Putnam Avenue
Suite 286
Greenwich
Connecticut 06830-5424

Toll Free: 1-888-798-2930

REQUEST SERVICE >

Terms of Use • Privacy Policy

©2017 US Compliance Consultants. All Rights Reserved. | Design and Development by Penner Web Design