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RCW Staff

Just days before temporary Advisers Act rule 206(3)-3T was due to expire, the SEC issued a final rule this month that pushes the sunsetting of ...
If your firm sold investors on the investment management program ESI Illuminations Select, you'll take interest in the legal settlement last week between the SEC ...
Although the SEC's not talking, various sources confirm that the Office of Compliance Inspections and Examinations has been sending this fall a sweep exam letter ...
The latest SEC enforcement action targeting insider trading reads like a mix of espionage and office politics, with its claim that the suspects "exchanged illegal ...
From all outward appearances, the Indian-born financial professional in Singapore seemed a perfect partner to do business with. However, an inquiry into his past revealed ...
Most investment advisory firms will not need to secure a surprise annual exam to verify client assets after the Commission voted unanimously last week to ...
The December 21, 2009 issue of IA Week Online.
Commissioners voted unanimously this morning to adopt the SEC's first major rule affecting investment advisory firms in the aftermath of the Madoff scandal. In approving ...
SEC Commissioners plan to meet Wednesday to consider their amendments to the proposed custody rule (IA Watch, Aug. 10, 2009). The question to be answered ...
Legal troubles emerged for a legal eagle last week, as the SEC charged a second Ropes & Gray attorney in its widening insider trading investigation ...
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