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.


Reg S-P Webinar Replay | Vigilant Events
May 12, 2026Vigilant Events On Thursday, May 7th, 2026, Vigilant participated in a co-hosted Reg S-P Webinar with it’s affiliated Cybersecurity Firm, SilverPillar Cyber[...]
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SEC Leadership Signals Regulatory Priorities in Latest Conference Remarks
May 08, 2026SEC Releases Introduction At the SEC’s 13th Annual Conference on Financial Market Regulation, SEC Chairman Paul Atkins, SEC Commissioner Mark[...]
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Navigating Cyber Threats: What RIAs Should Be Doing Now
May 04, 2026Vigilant Insights Introduction Cybersecurity continues to be a growing area of focus for Registered Investment Advisers (“RIAs”), particularly as data[...]
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Vigilant Compliance Newsletter | April 2026
May 01, 2026Monthly Newsletter Printer Friendly Version In April, there were important releases including Vigilant Events, Vigilant Announcements, Vigilant Insights and SEC Releases. Below[...]
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Reg S-P Webinar | Vigilant Events
April 29, 2026Vigilant Events Reg S-P Webinar Registration Vigilant will be participating in a co-hosted webinar with it’s affiliated Cybersecurity Firm, SilverPillar Cyber Advisors,[...]
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SEC Charges Private Fund Adviser for Excess Fees and Misstatements
April 29, 2026SEC Releases Introduction On April 9, 2026, the SEC filed a civil enforcement action against a Private Fund Investment Adviser[...]
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When Do RIAs Consider an OCCO? | 5 Scenarios
April 27, 2026Vigilant Insights Introduction For SEC RIAs, the compliance function has become increasingly complex, resource-intensive, and scrutinized. Regulatory expectations continue to[...]
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SEC & CFTC Propose Form PF Changes to Reduce Private Fund Reporting Burdens
April 22, 2026SEC Releases Introduction The SEC and CFTC jointly proposed amendments to Form PF aimed at reducing reporting burdens for Private[...]
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SEC FY25 Enforcement Results
April 20, 2026SEC Releases Introduction The SEC’s Fiscal Year 2025 enforcement results signal a meaningful shift in how the agency approaches enforcement.[...]
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AI Compliance Considerations
April 14, 2026Vigilant Insights Introduction AI is quickly becoming part of how RIAs operate, whether through Portfolio Management tools, client communications, trading[...]
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Q1 2026 Compliance Trends | Vigilant Insights
April 14, 2026Vigilant Insights Introduction So far in 2026, both the SEC and FINRA are reinforcing a familiar message, Firms must demonstrate[...]
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DOL Proposes New Fiduciary Framework for 401(k) Investment Selection
April 07, 2026News and Alerts Introduction The U.S. Department of Labor’s (DOL) proposed rule on “Fiduciary Duties in Selecting Designated Investment Alternatives”[...]
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