SEC Fines Investment Adviser CCO for Failure to Carry Out Compliance Responsibilities
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July 20, 2022
SEC Fines Investment Adviser CCO for Failure to Carry Out Compliance Responsibilities
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July 20, 2022
Regulatory Game Changers on the Horizon
The SEC has unleashed a flurry of rule proposals that, if enacted as proposed, will significantly alter the regulatory, disclosure and reporting obligations for managers who cater to the private fund market.
May 31, 2022
FINRA Publishes Guidance on CCO Liability
FINRA recently published guidance outlining when CCOs’ role is advisory and when CCOs may be liable for failing to discharge their supervisory responsibilities.
March 29, 2022
National Society of Compliance Professionals Releases CCO Liability Framework
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January 18, 2022
New York City Bar Recommends SEC Framework for CCO Liability
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June 15, 2021
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November 24, 2020
SEC’s Peirce Calls for Framework to Provide Guidance on CCO Personal Liability
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October 27, 2020
SEC to Hold Virtual Compliance Outreach Program on November 19
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October 09, 2020
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