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 Announces Oil-and-Gas Fraud Charges Against Houston-Based Company and CEO

August 04, 2014

The Securities and Exchange Commission today announced charges against a Houston-based oil-and-gas exploration and production company and its CEO for[...]

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SEC Obtains Nearly $70 Million Judgment Against Richmond, Va.-Based Firms and CEO Found Liable for Defrauding Investors

August 01, 2014

The Securities and Exchange Commission today announced that it has obtained a final judgment in federal court in Tennessee requiring[...]

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SEC Enforcement Division Modifies Municipalities Disclosure Initiative

July 31, 2014

The Securities and Exchange Commission today announced modifications to its Enforcement Division’s Municipalities Continuing Disclosure Cooperation (MCDC) Initiative that will[...]

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SEC Charges Virginia-Based Broker With Stealing Funds From Elderly Customers

July 31, 2014

The Securities and Exchange Commission today charged a broker based in Roanoke, Va., with defrauding elderly customers, including some who[...]

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SEC Announces Award for Whistleblower Who Reported Fraud to SEC After Company Failed to Address Issue Internally

July 31, 2014

The Securities and Exchange Commission today announced an award of more than $400,000 for a whistleblower who reported a fraud[...]

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Architect of Variable Annuities Scheme Agrees to Pay $850,000, Admit Wrongdoing, and Be Barred From Securities Industry

July 31, 2014

The Securities and Exchange Commission today announced that the architect of a variable annuities scheme designed to profit from the[...]

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SEC Charges Company CEO and Former CFO With Hiding Internal Controls Deficiencies and Violating Sarbanes-Oxley Requirements

July 30, 2014

The Securities and Exchange Commission today announced charges against the CEO and former CFO of a Florida-based computer equipment company[...]

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SEC Names Alberto Arevalo as Associate Director in the Office of International Affairs

July 30, 2014

The Securities and Exchange Commission today announced that Alberto Arevalo has been named an associate director in the Office of[...]

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SEC Announces Charges in “Solar Farm” Penny Stock Scheme

July 29, 2014

The Securities and Exchange Commission today announced fraud charges against a penny stock company and its CEO linked to a[...]

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Harbinger’s Former Chief Operating Officer Agrees to Settle Charges for Assisting Hedge Fund Scheme

July 28, 2014

The Securities and Exchange Commission today announced that the former chief operating officer at Harbinger Capital Partners LLC has agreed[...]

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SEC Charges Smith & Wesson With FCPA Violations

July 28, 2014

The Securities and Exchange Commission today charged Smith & Wesson Holding Corporation with violating the Foreign Corrupt Practices Act (FCPA)[...]

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Citigroup Business Unit Charged With Failing to Protect Confidential Subscriber Data While Operating Alternative Trading System

July 25, 2014

The Securities and Exchange Commission today charged a Citigroup business unit operating an alternative trading system (ATS) with failing to[...]

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