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.

 

Shelly Luisi Named Associate Director in the Division of Corporation Finance

August 19, 2015

The Securities and Exchange Commission today announced that Shelly Luisi has been named as an Associate Director in the Division[...]

Read Article

SEC Charges Citigroup Global Markets for Compliance and Surveillance Failures

August 19, 2015

The Securities and Exchange Commission today announced that Citigroup Global Markets has agreed to settle charges that it failed to[...]

Read Article

SEC Charges BNY Mellon With FCPA Violations

August 18, 2015

The Securities and Exchange Commission today announced that BNY Mellon has agreed to pay $14.8 million to settle charges that[...]

Read Article

SEC Names Shamoil T. Shipchandler as Regional Director of Fort Worth Office

August 18, 2015

The Securities and Exchange Commission today announced that Shamoil T. Shipchandler has been named Regional Director of its Fort Worth[...]

Read Article

Citigroup Affiliates to Pay $180 Million to Settle Hedge Fund Fraud Charges

August 17, 2015

The Securities and Exchange Commission today announced that two Citigroup affiliates have agreed to pay nearly $180 million to settle[...]

Read Article

Three Maryland Men Settle Charges They Defrauded Investors in Real Estate Investment Company

August 13, 2015

The Securities and Exchange Commission today announced that three Maryland men have agreed to settle charges that they defrauded investors[...]

Read Article

Edward Jones to Pay $20 Million for Overcharging Retail Customers in Municipal Bond Underwritings

August 13, 2015

The Securities and Exchange Commission today announced that St. Louis-based brokerage firm Edward Jones and the former head of its[...]

Read Article

SEC Charges Former Software Executive With FCPA Violations

August 12, 2015

The Securities and Exchange Commission today announced that a former executive at a worldwide software manufacturer has agreed to settle[...]

Read Article

SEC Charges ITG With Operating Secret Trading Desk and Misusing Dark Pool Subscriber Trading Information

August 12, 2015

The Securities and Exchange Commission today announced that ITG Inc. and its affiliate AlterNet Securities have agreed to pay $20.3[...]

Read Article

SEC Charges 32 Defendants in Scheme to Trade on Hacked News Releases

August 11, 2015

The Securities and Exchange Commission today announced fraud charges against 32 defendants for taking part in a scheme to profit[...]

Read Article

Guggenheim Partners Investment Management LLC Settles Charges it Failed to Disclose Conflict to Clients

August 10, 2015

The Securities and Exchange Commission today announced that Guggenheim Partners Investment Management LLC has agreed to settle charges it breached[...]

Read Article

Miller Energy Resources, Former CFO, Current COO Charged With Accounting Fraud

August 06, 2015

The Securities and Exchange Commission today announced charges alleging that Miller Energy Resources Inc., its former chief financial officer, and[...]

Read Article