CCO
20 May, 2021

Market Volatility in 2026: Compliance Considerations for Advisers

Key compliance considerations for advisers navigating market volatility in 2026, including disclosures, communications, and documentation.

CCO
20 May, 2021

Marketing Rule in 2026: Enforcement Themes

Key enforcement themes under the SEC Marketing Rule in 2026, with a focus on substantiation, disclosures, and recordkeeping.

CCO
20 May, 2021

Third-Party Tech Vendors Under Regulatory Scrutiny: Oversight Expectations in 2026

What RIAs and broker-dealers should consider as reliance on third-party technology platforms expands across operations and client delivery.

CCO
20 May, 2021

Crypto, Compliance and the Custody Conundrum: What Advisers Should Watch in 2026

Key considerations for RIAs and broker-dealers as regulatory focus on crypto asset custody continues into 2026.

CCO
20 May, 2021

Compliance Requirements: Exemption for Certain Investment Advisers Operating Through the Internet (Rule 203A-2(e)

As a reminder, amended rule 203A-2(e) will impose certain reporting, recordkeeping, and compliance requirements on investment advisers relying on the exemption.

Broker Dealer
20 May, 2021

FINRA Examinations: Noteworthy Exam Findings, Form CRS Guidance

FINRA's Examination team conducts exams every member firm at least every four years and as often as annually. See Form CRS exam findings.