See why ACA Insight is the leading newsletter on regulatory compliance. Sign up for a free 1-week trial.

The weekly news source for investment management legal and compliance professionals

News December 18, 2017 Issue

SEC Fines Adviser/Broker for Failure to Supervise Chief Executive Officer

Supervising your firmís chief executive officer for compliance may not be the most comfortable or easiest thing to do. But firms that fail to do so run the risk of having closed eyes should the CEO do something improper Ė and facing SEC action themselves.

Full contents of this article are only available to paid subscribers.

Subscribe to ACA Insight

Subscribe to ACA Insight and receive a time-limited $200 discount! Subscribers receive: 46 electronic issues conveniently e-mailed to your desktops each Friday; access to archives of past stories; and breaking news e-mails.

Subscribe today to the weekly news source for investment management and legal compliance professionals.

Subscriber Log In

Forgot your password? Click Here.