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.

 

SEC Cracks Down on AI Misrepresentation

April 15, 2025

SEC RELEASES Introduction On April 11th, 2025, the SEC charged a Founder and Former CEO (“CEO”), for allegedly defrauding investors[...]

Read Article

SEC Unveils Structural Overhaul of Enforcement Division

April 11, 2025

News and Alerts Introduction It was recently reported that the SEC has reorganized the command structure for the Divisions of[...]

Read Article

Maximize Compliance Efficiency: The Case for an Outsourced CCO

April 07, 2025

Vigilant Insights Introduction The decision to transition to an outsourced Chief Compliance Officer (“CCO”) is often driven by a variety[...]

Read Article

Protect Your Acquisition: Outsourced Compliance Due Diligence

April 03, 2025

Vigilant Insights Who Is This Applicable To? Firms that are considering acquiring an Investment Adviser. Introduction When acquiring an Investment[...]

Read Article

Vigilant Compliance Newsletter | March 2025

March 31, 2025

Monthly Newsletter Printer Friendly Version In March, there were important releases including Vigilant Insights, FINRA and SEC Releases, and a Vigilant Shortlist Award[...]

Read Article

SEC AI Roundtable | Key Takeaways

March 31, 2025

SEC Releases Introduction On Thursday, March 27th, 2025, the SEC hosted a Roundtable that specifically focused on Artificial Intelligence (“AI”)[...]

Read Article

SEC Charges Two (2) Officers and the Adviser for Misuse of Assets

March 27, 2025

SEC Releases Introduction The SEC announced charges earlier this month (March, 2025) against an RIA, and two of its Officers, for misuse of Fund[...]

Read Article

FINRA Announces Proposed Rule 3290

March 26, 2025

FINRA Introduction On March 12, 2025, FINRA, in its Notice 25-04, announced its intention to launch a broad review of its[...]

Read Article

Vigilant Shortlisted for Private Fund Compliance Award

March 25, 2025

Vigilant Announcements Vigilant is thrilled to announce that we have been shortlisted as the Best Compliance and Regulatory Adviser (Private Fund Industry) in Regulatory Compliance[...]

Read Article

Updated Marketing Rule Guidance | Will Clark Insights

March 24, 2025

VIGILANT INSIGHTS Introduction The SEC updated its Marketing Rule FAQ on Wednesday, March 19th, 2025, with Vigilant providing the key[...]

Read Article

Updated Marketing Rule FAQs Released

March 20, 2025

SEC Releases Introduction As anticipated by Vigilant, it was announced on March 19th, 2025, that the SEC has released updated FAQs surrounding the SEC[...]

Read Article

SEC Names Rule Compliance Date Extended

March 17, 2025

SEC RELEASES Introduction On Friday, March 14th, the SEC announced that the Names Rule is receiving a six (6) month[...]

Read Article