Compliance
20 May, 2021

2023 Cybersecurity and Financial System Resilience Report

This report covers the Board’s policies and procedures related to cybersecurity risk management; activities to address cybersecurity risks; current and emerging risks.

CCO
20 May, 2021

Women in Portfolio Management: Outperforming the Field

Diversity in asset allocation is recognized as a key component of successful investment portfolio management. Kramer Levin Naftalis & Frankel LLP - Darina F. Delappe

CCO
20 May, 2021

CCO Liability and Supervisory Obligations Under FINRA Rule 3110

Regulatory Notice 22-10 (“Notice”), released on March 17, 2022, restates one of its usually unnoticed principles. Senior management is ultimately accountable.

ESG Compliance: Climate-Related Financial Risk

Climate risk disclosure has been a major focus under the current administration.

Broker Dealer
20 May, 2021

$15 Million: The New Price of a Cut-and Paste AML Program

SEC continues to impose major fines in connection with inadequate AML compliance, citing that a cut-and-paste approach to meeting the requirements is not an option.