Vigilant’s experienced professionals have extensive knowledge in Investment Adviser, Broker-Dealer, Mutual Fund, Private Equity, and Cybersecurity compliance, risk, and technology. Vigilant provides insights on best practices, trends, and industry news. Our blog consolidates all SEC, Vigilant, and industry-specific compliance alerts, white papers, articles, etc., to help you stay informed and find the information that you will need and find useful.


Vigilant Shortlisted for ETF & Mutual Fund Compliance Award
December 23, 2025Vigilant Announcements Vigilant is thrilled to announce that we have been shortlisted for the following award below by With Intelligence for their 2026 Mutual Fund &[...]
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Marketing Rule Risk Alert | Laura Arnott Insights
December 22, 2025Vigilant Insights Introduction On December 16, 2025, the SEC’s Division of Examinations issued a Risk Alert addressing on-going compliance weaknesses[...]
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Reg S-P Sweep Exams in Effect | Vigilant Insights
December 16, 2025Vigilant Insights Introduction On December 3rd, 2025, the Regulation S-P (“Reg S-P”) Rule Amendments went into effect for Large Advisers[...]
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SEC Commissioner Crenshaw Raises Concerns on Market Direction
December 15, 2025SEC Releases Introduction On December 11th, 2025, SEC Commissioner, Caroline A. Crenshaw, delivered a candid assessment of the current direction[...]
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SEC Outlook | Brian Daly’s (SEC Director of IM) Remarks
December 09, 2025SEC Releases Introduction On December 2, 2025, the newly appointed Director of the SEC’s Division of Investment Management, Brian Daly,[...]
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Vigilant Wins Institutional Asset Manager Compliance Services Award
December 05, 2025Vigilant Announcements Vigilant is thrilled to announce that for the third year in a row, we have been selected as the 2025 Best Regulatory &[...]
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Alts & Retail Risks Lead SEC Agenda | Donna DiMaria Insights
December 02, 2025Vigilant Insights Introduction The SEC’s newly released 2026 Examination Priorities place a renewed emphasis on the risks Alternative Investments pose[...]
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$150K SEC Fine Highlights Importance of Transparency and Oversight
December 02, 2025SEC Releases Introduction On November 24th, 2025, an RIA and its Principal agreed to pay $150,000 to settle an Enforcement[...]
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Vigilant Compliance Newsletter | November 2025
December 02, 2025Monthly Newsletter Printer Friendly Version In November, there were important releases including Vigilant Announcements, Vigilant Insights, and SEC Releases. Below[...]
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$325K SEC Fine Reflects Growing Regulatory Cyber Expectations
December 01, 2025SEC Releases Introduction On November 25th, 2025, a dually registered Broker Dealer and Registered Investment Adviser (RIA) has agreed to[...]
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SEC Charges 6 Advisers for False Filings
November 25, 2025SEC Releases Introduction On November 17, 2025, the SEC announced charges against six (6) Investment Advisory Entities for submitting Form[...]
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Streamlining 15(c) Reporting | Salvatore Faia Insights
November 20, 2025Vigilant Insights Introduction Fund Boards are increasingly reevaluating the volume and relevance of their Annual 15(c) Materials, working to eliminate[...]
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