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SECCC

Communiques

Adviser Settles SEC Cyber Enforcement Action

September 24, 2015 No Comments

The Securities and Exchange Commission announced on September 22, 2015 that an investment adviser has agreed to settle charges that it failed to establish the

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First Case Brought Under Distribution-in-Guise Initiative

September 22, 2015 No Comments

On September 21, 2015, the Securities and Exchange Commission charged  an asset manager with improperly using mutual fund shareholder’s assets to pay two unnamed brokerage

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New Cybersecurity Risk Alert Announcing Second Round of Cybersecurity Sweep Exams

September 17, 2015 No Comments

On September 15, 2015, the Office of Compliance Inspections and Examinations (“OCIE”) issued a new Risk Alert relating to cybersecurity. This Risk Alert reemphasized the intention

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CHIEF COMPLIANCE OFFICER ROUNDTABLE: BREAKFAST BRIEFING

September 15, 2015 No Comments

When: October 13, 2015 Where: Blank Rome LLP | The Chrysler Building | 405 Lexington Avenue | New York, NY 10174 22nd Floor Boardroom Thomas

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Anti-Money Laundering Regulation—Third Time’s the Charm?

August 28, 2015 No Comments

The Financial Crimes Enforcement Network (FinCEN) proposed on August 25, 2015, a rule that would require certain registered investment advisers to have in place anti-money

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Cybercrime Meets Insider Trading

August 19, 2015 No Comments

The SEC announced on Tuesday charges against 32 defendants involved in an unprecedented illicit scheme deployed in the US and overseas. The scheme involved hacking

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The SEC’s Examination Priorities: What Every Private Fund Managers Need to Know in 2015 LIVE Webcast

July 29, 2015 No Comments

In this CLE course, a panel of thought leaders and professionals organized by The Knowledge Group will provide the audience with an overview of the

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SEC exam prep: What to expect in second half 2015

July 27, 2015 No Comments

The U.S. Securities and Exchange Commission’s (SEC’s) 2015 examination priorities (PDF) are very different in scope and structure from those of previous years. For instance,

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SEC Charges Private Equity Manager in First Ever Case Over Allocation of Broken Deal Expenses

July 7, 2015 No Comments

The Securities and Exchange Commission recently charged a private equity firm for misallocating more than $17 million of “broken deal” expenses. Broken deal expenses are

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What the SEC’s New Cybersecurity Guidance Means for Investment Advisers and Investment Companies

July 1, 2015 No Comments

By Janaya Moscony, CFA; Irshad Karim; Linda Smith; Claire Owens, SEC Compliance Consultants Published: NSCP Currents May 2015 The SEC has made cybersecurity a significant

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