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Carl Ayers

Carl Ayers Carl Ayers, Publisher | 202-908-6194 | cayers@regcompliancewatch.com Carl has been the publisher of Regulatory Compliance Watch since 2008. He has won several national journalism awards, including for investigative reporting. In 2018, Ayers won two awards - a second place award for Best Spot News for a story reporting Form ADV developments ahead of the SEC (IA Watch, July 6, 2017), and a third place award for Best Investigative Reporting for a series on an adviser that initially fought SEC charges (IA Watch, July 27, 2017). He has worked at newspapers, in television news and in healthcare journalism. Carl hails from New Jersey, earned his master's degree from Northwestern University and enjoys playing guitar, working out and pursuing golf.
Siniscalchi was an associated person and Chief Compliance Officer of Indio Entertainment, an investment adviser registered in California as an exempt reporting adviser
This is the SEC's 9th annual report around its use of Form PF data
"The Agenda makes plenty of room for rulemakings to undo rulemakings that the Commission only recently completed"
EXAMS contacted NLCA’s Chief Compliance Officer by email on October 14, 2020 to alert him that the firm had failed to file Form CRS. NLCA, ...
Respondent’s employer then raised approximately $1.5 million in additional funds through sales of securities issued by PIV2 to both existing security holders and new investors, ...
"Analyzing a multi-hundred page rulemaking in the context of intricate markets and an already complicated set of securities and other relevant laws is not an ...
More tips and guidance to comply with DOL rollover exemption, SEC examiners to be examined, lessons from a financial crash and much more
The SPAC target IPO is akin to a traditional IPO. Thus, investors deserve the protections they receive from traditional IPOs, with respect to information asymmetries, ...
"I wouldn’t be surprised if there weren’t some litigation that comes out of it if DOL tries to get involved in the IRA space. I ...
Call it an audit of the auditors. The SEC’s Office of Inspector General is probing how the Division of Exams looks at investment advisers
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