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 Obtains Partial Asset Freeze of Proceeds in Alleged Fraudulent Touting Scheme

March 08, 2018

The Securities and Exchange Commission has filed fraud charges in a scheme to inflate the share price of an Israeli[...]

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SEC Charges Company and Executives in Oil-and-Gas Offering Fraud

March 08, 2018

The Securities and Exchange Commission has charged a Dallas-based oil-and-gas company and two of its executives with defrauding investors out[...]

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Merrill Lynch Charged With Gatekeeping Failures in the Unregistered Sales of Securities

March 08, 2018

The Securities and Exchange Commission today announced settled charges against Merrill Lynch, Pierce, Fenner & Smith Inc. for its failure[...]

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2018 Vigilant Compliance LLC Annual Luncheon

March 06, 2018

Date: Friday, April 6, 2018 Time: 10:30 AM to 1:30 PM (EST) Location: The Warwick Hotel Rittenhouse Square, Philadelphia Vigilant[...]

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NYSE to Pay $14 Million Penalty for Multiple Violations

March 06, 2018

The Securities and Exchange Commission today announced that it charged the New York Stock Exchange and two affiliated exchanges with[...]

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SEC Charges Unregistered Broker for Illegally Brokering Sales of EB-5 Securities

March 05, 2018

The Securities and Exchange Commission today charged a New York-based company with illegally brokering dozens of investments by foreign nationals[...]

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SEC Celebrates African American History Month

March 02, 2018

The Securities and Exchange Commission this week concluded its month of celebrations, events, and remembrances – at its Washington, D.C.[...]

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SEC Charges U.K. Brokerage Firm, Investment Manager, CEO, and Others for Manipulative Trading in U.S. Microcap Stocks

March 02, 2018

The Securities and Exchange Commission today announced securities fraud charges against a U.K.-based broker-dealer and its investment manager in connection[...]

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SEC Files Charges Seeking to Halt Recidivist and Associates in Scheme to Defraud Small Businesses

February 28, 2018

The Securities and Exchange Commission today charged three-time recidivist Steven J. Muehler with operating an unregistered broker-dealer, facilitating an unregistered[...]

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SEC Charges Ameriprise With Overcharging Retirement Account Customers for Mutual Fund Shares

February 28, 2018

The Securities and Exchange Commission today announced that a Minnesota-based broker-dealer and investment adviser has agreed to settle charges for[...]

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SEC Announces Agenda for March 8 Investor Advisory Committee Meeting

February 27, 2018

The Securities and Exchange Commission today announced the agenda for the March 8 meeting of its Investor Advisory Committee. The[...]

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SEC Votes to Modify Compliance Date for Open-End Fund Liquidity Classification

February 22, 2018

The Securities and Exchange Commission today voted to extend by six months the deadline by which open-end funds must comply[...]

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