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 Seeks Public Comment on Disclosure Requirements Relating to Management, Security Holders and Corporate Governance Matters
August 25, 2016The Securities and Exchange Commission today announced that it is seeking public comment on disclosure requirements in Subpart 400 of[...]
Read ArticleSEC Adopts Rules to Enhance Information Reported by Investment Advisers
August 25, 2016The Securities and Exchange Commission today adopted amendments to several Investment Advisers Act rules and the investment adviser registration and[...]
Read ArticleInvestment Advisers Paying Penalties for Advertising False Performance Claims
August 25, 2016The Securities and Exchange Commission today announced penalties against 13 investment advisory firms found to have violated securities laws by[...]
Read ArticleSEC Charges 71 Municipal Issuers in Muni Bond Disclosure Initiative
August 24, 2016The Securities and Exchange Commission today announced enforcement actions against 71 municipal issuers and other obligated persons for violations in[...]
Read ArticleApollo Charged With Disclosure and Supervisory Failures
August 23, 2016The Securities and Exchange Commission today announced that four private equity fund advisers affiliated with Apollo Global Management have agreed[...]
Read ArticleCompany Punished for Severance Agreements That Removed Financial Incentives for Whistleblowing
August 16, 2016The Securities and Exchange Commission today announced that a California-based health insurance provider has agreed to pay a $340,000 penalty[...]
Read ArticleFormer Goldman Sachs Trader Settles Fraud Charges
August 16, 2016The Securities and Exchange Commission today announced that the former head trader in residential mortgage-backed securities (RMBS) at Goldman Sachs[...]
Read ArticleHedge Fund Manager Charged in Scheme Involving Terminally Ill
August 15, 2016The Securities and Exchange Commission today announced fraud charges against a hedge fund manager and his firm accused of paying[...]
Read ArticleSEC: Investment Adviser Boasted Phony Assets and Track Record, Stole From Client
August 11, 2016The Securities and Exchange Commission today announced fraud charges against a San Francisco man and his investment advisory firm accused[...]
Read ArticleSEC Charges Stockbroker and Friend With Insider Trading
August 11, 2016The Securities and Exchange Commission today charged a stockbroker and his friend with participating in an insider trading scheme to[...]
Read ArticleSEC Charges Former Professional Football Player With Running $10 Million Fraud
August 10, 2016The Securities and Exchange Commission today charged Merrill Robertson Jr., a former player for the Philadelphia Eagles, with defrauding investors,[...]
Read ArticleKristin Snyder Named Co-Head of SEC’s Investment Adviser/Investment Company Examination Program
August 10, 2016The Securities and Exchange Commission today announced that Kristin Snyder has been named Co-National Associate Director of the Investment Adviser/Investment[...]
Read Article