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 Charges KPMG With Violating Auditor Independence Rules

January 24, 2014

The Securities and Exchange Commission today charged public accounting firm KPMG with violating rules that require auditors to remain independent[...]

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Former Oppenheimer Fund Manager Agrees to Settle Fraud Charges

January 22, 2014

The Securities and Exchange Commission today announced that a former Oppenheimer & Co. portfolio manager has agreed to be barred[...]

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SEC Obtains Settlements in Penny Stock “Shell Packaging” Case

January 15, 2014

The Securities and Exchange Commission today announced nearly $300,000 in settlements against a Virginia-based “shell packaging” company and its CEO[...]

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Agencies Approve Interim Final Rule Authorizing Retention of Interests in and Sponsorship of Collateralized Debt Obligations Backed Primarily by Bank-Issued Trust Preferred Securities

January 14, 2014

Five federal agencies on Tuesday approved an interim final rule to permit banking entities to retain interests in certain collateralized[...]

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SEC Announces New Date for Compliance with Final Municipal Advisor Registration Rules

January 13, 2014

The Securities and Exchange Commission today announced that compliance with the final municipal advisor registration rules will not be required until July[...]

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Interpretive Guidance on Municipal Advisor Registration Rules

January 10, 2014

The Securities and Exchange Commission today announced that its Office of Municipal Securities has issued interpretive guidance to address questions[...]

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Myron Marlin, Director of Communications, to Leave SEC

January 10, 2014

The Securities and Exchange Commission today announced that Myron Marlin will be leaving the SEC after nearly five years as[...]

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SEC Announces 2014 Examination Priorities

January 09, 2014

The Securities and Exchange Commission today announced its examination priorities for 2014, which cover a wide range of issues at[...]

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SEC Charges Diamond Foods and Two Former Executives Following Accounting Scheme to Boost Earnings Growth

January 09, 2014

The Securities and Exchange Commission today charged San Francisco-based snack foods company Diamond Foods and its former CFO in an[...]

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SEC Charges Alcoa With FCPA Violations

January 09, 2014

The Securities and Exchange Commission today charged global aluminum producer Alcoa Inc. with violating the Foreign Corrupt Practices Act (FCPA)[...]

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SEC Names Michael Osnato as Chief of Enforcement Division’s Complex Financial Instruments Unit

January 06, 2014

The Securities and Exchange Commission today announced that Michael J. Osnato, Jr. has been named chief of the Enforcement Division[...]

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Enforcement Co-Director George Canellos to Leave SEC

January 03, 2014

The Securities and Exchange Commission today announced that George S. Canellos, co-director of its Enforcement Division, will leave the agency[...]

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