By Steve Kardell | Published August 29, 2016 | Posted in Whistleblower Litigation | Tagged Tags: ensuring compliance with SEC guidance |
When the U.S. Securities and Exchange Commission (SEC) issues a guidance impacting long-standing practices for fund advisers, it’s important that these professionals take action quickly to ensure they are in compliance with all relevant federal laws and regulations. This has become an important issue, as the SEC is now giving out record amounts in rewards Read More
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