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.

 

Chairman Atkins Outlines Regulatory Vision

July 07, 2026

SEC Releases Introduction In remarks delivered to the Economic Club of New York, SEC Chairman, Paul Atkins outlined his vision[...]

Read Article

Vigilant Shortlisted for Hedge Fund Compliance Award

July 07, 2026

Vigilant Announcements Vigilant is thrilled to announce that we have been shortlisted as the Best Advisory Firm: Regulation and Compliance for the 2026 With Intelligence[...]

Read Article

Vigilant Compliance Newsletter | June 2026

July 01, 2026

Monthly Newsletter Printer Friendly Version In June, there were important releases including Industry Events, Vigilant Insights and SEC Releases. Below is a[...]

Read Article

Custody Rule and Annual Audit Failures Lead to $75,000 SEC Penalty

June 29, 2026

SEC Releases Introduction The SEC announced settled administrative proceedings against a $1.4 Billion ($22.3 Million in Pooled Investment Vehicles) RIA[...]

Read Article

SEC 2026 Compliance Outreach Programs: Key Takeaways for RIAs and RICs

June 25, 2026

Industry Events Introduction In May and June 2026, the SEC hosted virtual Compliance Outreach Program Regional Seminars for Investment Advisers[...]

Read Article

SEC Risk Alert Reveals Common Billing and Disclosure Deficiencies

June 17, 2026

Vigilant Insights Introduction The SEC recently issued a Risk Alert highlighting deficiencies identified during examinations of Investment Advisers related to[...]

Read Article

The Reg S-P Deadline Has Passed | Is Your Firm Ready?

June 11, 2026

Vigilant Insights Introduction As of June 3, 2026, RIAs with less than $1.5 Billion in Assets Under Management (AUM) are[...]

Read Article

SEC Enforcement Alert: Personal Trading and Compliance Lapses Lead to $1.5 Million Settlement

June 09, 2026

SEC Releases Introduction On June 8, 2026, the SEC announced settled charges against an RIA and its former CEO arising[...]

Read Article

Vigilant Compliance Newsletter | May 2026

June 01, 2026

Monthly Newsletter Printer Friendly Version In May, there were important releases including Vigilant Events, Vigilant Insights and SEC Releases. Below is a[...]

Read Article

$201K Reg BI Enforcement Action: Lessons for Firms

June 01, 2026

SEC Releases Introduction The SEC charged a New York based Broker Dealer with failing to comply with Regulation Best Interest (“Reg BI”) in connection[...]

Read Article

Breakaway Advisor Compliance: Where to Start

May 27, 2026

Vigilant Insights Introduction More Financial Advisors are choosing to leave Broker Dealers and Wirehouses to launch or join independent Registered[...]

Read Article

SEC Enforcement: What’s Ahead for Private Markets

May 20, 2026

Vigilant Insights Introduction In remarks at the MFA Legal & Compliance 2026 Conference, David Woodcock, Director of the SEC Division[...]

Read Article