Journal of Investment Compliance: Volume 18 Issue 3
Table of contents
SEC enforcement actions under exchange act rule 21F-17
Thomas W. WhiteTo review recent enforcement actions in which the Securities and Exchange Commission (“SEC”) enforced Rule 21F-17(a) under the Securities Exchange Act, which prohibits actions to…
SEC shortens standard settlement cycle to T+2
James R. Burns, James E. Anderson, Kimberly Beattie Saunders, Charles F. GyerTo describe the steps taken by the SEC to shorten the standard settlement cycle for most broker-dealer transactions from three business days to two business days after the trade…
Cross border master-feeder arrangements: SEC staff slightly expands utility of offshore feeders for global investment management firms, but tax and other challenges remain
Mark Amorosi, George Zornada, Todd Gibson, Joel Almquist, Pablo J. ManTo analyze the recent SEC no-action relief allowing a non-US investment company to invest as a feeder fund in a US registered open-end management investment company without…
SEC approves new continued listing standards for ETFs
Adam Teufel, Christopher J. GeisslerTo introduce and analyze recent amendments to the rules of three US securities exchanges to add specific continued listing standards applicable to exchange-traded funds (ETFs).
US securities and exchange commission’s division of investment management issues guidance regarding robo-advisers
Stephanie M. Monaco, Amy Ward Pershkow, Leslie S. Cruz, Peter M. McCamman, Andrew D. Getsinger, Adam KanterTo explain a guidance update issued in February 2017 by the staff of the Division of Investment Management (Staff) at the US Securities and Exchange Commission (SEC) on how…
SEC publishes important guidance on the Custody Rule, participating affiliate arrangements, robo-advisers, Form PF and certain compliance topics
Joyce E. Larson, Kara J. Brown, Ivet A. BellTo highlight guidance issued by the US Securities and Exchange Commission (SEC) for the benefit of investment advisers regarding certain obligations under the Investment Advisers…
SEC charges broker-dealer and AML officer for failing to file SARs related to pump-and-dump scheme
Bradley J. Bondi, Charles A. Gilman, Kimberly C. Petillo-Décossard, John J. Schuster, Sara OrtizTo explain a recent US Securities and Exchange Commission (SEC) administrative proceeding targeting a broker-dealer as part of the Commission’s continuing efforts to enforce…
AML compliance in the age of individual accountability
Carlton Greene, Thomas Hanusik, Cari Stinebower, Sarah BartleTo analyze FinCEN’s settlement with Thomas Haider and examine regulatory agencies’ emphasis on individual accountability and the implications of this emphasis for anti-money…
FINRA releases guidance on social media and digital communications
Matthew T. Wirig, Kate S. PoorbaughTo summarize recent FINRA guidance on social media and digital communications published in Regulatory Notice 17-18.
CFTC’s demanding new cooperation guidelines for companies and individuals
Breon S. Peace, Jennifer Kennedy Park, Robin M. Bergen, Nowell D. BambergerTo explain and analyze two Enforcement Advisories that set forth the factors the US Commodity Futures Trading Commission Division of Enforcement may consider in assessing…
Selling structured products to retail investors in the US
Margaret SheehanTo explain the inherent risks, draw attention to SEC and FINRA guidance, and suggest ways to limit and control the sale of structured securities to retail investors.
SEC approves FINRA’s rules to protect seniors from financial exploitation
Matthew J. KutnerTo inform readers of new FINRA Rule 2165 and amended FINRA Rule 4512, which are aimed at protecting seniors from financial exploitation.
MIFID2 – the impact on non-EU fIRMS
Simon Crown, Steven F. Gatti, Matthias Feldman, Paul LandlessAn update for firms located outside the European Union of the possible extra-territorial impact of certain provisions in the recast Markets in Financial Instruments Directive and…
Money laundering: further clarity provided by the Court of Appeal on the operation of the consent regime
Daren AllenTo summarise a key development that provides clarity for banks on the operation of the money laundering provisions in the UK Proceeds of Crime Act 2002.
The Private Fund Limited Partnership: a new fund vehicle for the UK
Sally Gibson, Geoffrey Kittredge, Simon WitneyTo explain the UK government’s long-awaited reforms to limited partnership law.
The FCA’s new enforcement process – what will work, and what won’t
Polly James, Adam JamiesonTo review the FCA’s new enforcement process, drawing on what we believe are the positives and negatives and how the FCA should further improve the enforcement process.
SFC reminding sponsors of the need to adopt an attitude of “professional scepticism”
Gareth Hughes, James ComberTo remind sponsors to adopt an attitude of “professional skepticism” in Hong Kong IPOs.
Investment recommendations under the Market Abuse Regulation (MAR) – operative guidelines issued by the Italian Securities and Exchange Commission (CONSOB)
Lorenzo Parola, Francesco FalcoAnalysis of the guidelines on investment recommendations (“Guidelines”) issued by the Italian Securities and Exchange Commission (“CONSOB”) on the application of the EU Regulation…
ISSN:
1528-5812e-ISSN:
1758-7476ISSN-L:
1528-5812Online date, start – end:
2000 – 2021Copyright Holder:
Emerald Publishing LimitedEditor:
- Henry A. Davis