les abromovitz

time 4 minute read

How Testimonials & Accolades Can Create Unexpected Compliance Problems

Rule 206(4)-1 under the Investment Advisers Act, better known as the Advertising Rule, prohibitsfalse

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time 3 minute read

OCIE Risk Alert Helps Firms Safeguard Customer Records and Information In Network Storage

On May 23, 2019, the SEC’s Office of Compliance Inspections and Examinations (“OCIE”) published afalse

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time 5 minute read

SEC Adopts Advice Standards and Form CRS (“Client Relationship Summary”) for Broker-Dealers and RIAs

On June 5, 2019, the SEC adopted Regulation Best Interest and the new Form CRS Relationshipfalse

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time 4 minute read

Protecting Retail Investors Through Examinations and Outreach

On April 29, 2019, Peter Driscoll, Director of the SEC’s Office of Compliance Inspections andfalse

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time 4 minute read

Two RIAs Pay The Price For Violating The Pay-To-Play Rule

Even if they are disinterested in politics, registered investment advisers (“RIA”) must be aware offalse

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time 3 minute read

Risk Alert Warns RIAs and Broker-Dealers About Compliance Issues Involving Regulation S-P Privacy Notices and Safeguard Policies

Regulation S-P is the SEC’s primary rule pertaining to the privacy notices and safeguard policiesfalse

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time 4 minute read

SEC Won’t Tolerate RIA’s Indifference To Compliance

A recent enforcement action demonstrates that the SEC will not ignore compliance violations,false
time 2 minute read

Overly Complicated Marketing Materials

It’s Complicated. It’s Way Too Complicated.

This article is not a solicitation of any investment product or service to any person or entity.
The content contained in this article is for informational use only and is not intended to be and is not a substitute for professional financial, tax or legal advice.