The Securities and Exchange Commission has proposed a package of rulemakings and interpretations designed to enhance the quality and transparency of investors’ relationships with investment advisers and broker-dealers. These changes will also preserve access to a variety of types of advice relationships and investment products. Generally, the proposed regulations would enhance investor protection by applying consistent principles to investment advisers and broker-dealers that provide for clear disclosures, encouraging exercising due care, and addressing conflicts of interest.
Continue reading "SEC Proposes Regulation Best Interest to..." »Tuesday, May 01. 2018
SEC Proposes Regulation Best Interest to Enhance Protections for Retail Investors
Monday, April 17. 2017
SEC Announces Dates for 2017 Compliance Outreach Seminars
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