Tag: Compliance Program Rule
Compliance Program Rule, Rule 206(4)-7 | Form ADV
SEC Schools Advisory Firm on Compliance Obligations
By Chelsea Bosiljevac, Compliance Associate May 11, 2016 The SEC recently issued a settlement order against an SEC-registered investment adviser and its CEO/CCO, demonstrating a continued focus on the SEC’s…
Compliance Program Rule, Rule 206(4)-7 | Custody | Form ADV
Owner of Formerly Registered Investment Adviser Settles with SEC Regarding Custody Rule, Compliance Rule, and Form ADV Violations
By: Kathleen A. Olesinski, Senior Compliance Consultant May 11, 2016 In a recent administrative proceeding, a fund manager’s principal, who also served as the Chief Compliance Officer, was barred from…
Compliance Program Rule, Rule 206(4)-7 | Compliance Programs | Conflicts of Interest | Examinations and Audits | Investment Advisers Act
Just in time for Halloween: Compliance Rule Horror Stories (Part 3 of a 3-part series)
October 30, 2014 Jaqueline M. Hummel Managing Director, Hardin Compliance Consulting, LLC In this final installment of a three-part series, the most recent cases involving violations of the Compliance Program…
Compliance Program Rule, Rule 206(4)-7 | Compliance Programs | Examinations and Audits | Investment Advisers Act
Just in time for Halloween: Compliance Rule Horror Stories (Part 1 of a 3-part series)
October 18, 2014 Jaqueline M. Hummel, Managing Director, Hardin Compliance Consulting, LLC In observance of the ten-year anniversary of the Compliance Program Rule (Rule 206(4)-7 of the Advisers Act) which became…