The Investment Advisor s Compliance Guide 3rd Edition

The Investment Advisor s Compliance Guide  3rd Edition
Author: Les Abromovitz
Publsiher: Unknown
Total Pages: 0
Release: 2023-01-25
Genre: Electronic Book
ISBN: 1954096925

Download The Investment Advisor s Compliance Guide 3rd Edition Book in PDF, Epub and Kindle

The Investment Advisor''s Compliance Guide, 3rd Edition delivers a concise yet comprehensive explanation of the rules and how they affect the work you do on a daily basis-no matter where you''re registered. It can be used as basic training for new Investment Advisor Representatives (IARs), as well as seasoned professionals. Best of all, it''s in plain English and will be helpful to both SEC and state-registered investment advisors (RIAs), as well as IARs. This title: Covers the SEC''s new marketing rule effective November, 2022, including new rules on advertising Identifies investment advisors'' fiduciary duties, including the Investment Advisers Act''s requirement to seek best execution for their clients Explains the registered investment advisor (RIA) registration requirements with either the Securities and Exchange Commission or state regulators Describes how to deal with client complaints as well as how to meet and exceed client expectations, as well as advice on how to deal with senior investors Provides the latest guidance from the NASSA, including the latest NASAA adviser''s guide and model rules Helps Chief Compliance Officers to identify situations that may subject them to personal liability Provides advice on Form ADV, the form used by investment advisers to register with both the Securities and Exchange Commission ("SEC") and state securities authorities, including how misstatements on Form ADV can lead to serious compliance issues Describes how to deal with client complaints as well as how to meet and exceed client expectations, as well as advice on how to deal with senior investors New in the 2023 Edition: A new chapters on the SEC''s Marketing Rule, including the use of testimonials, endorsements, third-party ratings, and performance advertising Analysis of the SEC''s new strategic plan for fiscal years 2022 through 2026, including the goals of protecting families against fraud and manipulation, developing a robust regulatory framework, and supporting a skilled workforce that is diverse and inclusive Personal liability issues facing Chief Compliance Officers (CCOs), including a discussion of the the SEC Commissioner''s 2022 personal liability analysis and the National Society of Compliance Professionals (NSCP)''s Firm and CCO Liability Framework to provide guidance to CCOs Update on the SEC''s 2022 Staff Bulletin: Standards of Conduct for Broker-Dealers and Investment Advisers Conflicts of Interest Impact of the pandemic on RIAs'' compliance obligations The use and misuse of today''s top social media platforms How new forms of communication can create compliance problems Form CRS and Regulation Best Interest compliance issues New discussion of senior clients, including coverage of the NASAA Model Act to Protect Vulnerable Adults from Financial Exploitation Topics Covered: The SEC''s new marketing rule, including discussion of advertising services Registration requirements for Investment Advisor Representatives The anti-fraud provisions of the Investment Advisers Act, including disclosure of conflicts of interest The code of ethics rule, including the purpose of the rule and insider trading Filing and updating of Form ADV Client communication and miscommunication, including the use of social media Analysis of the Investment Advisers Act''s "Compliance Program Rule," which requires advisors registered with the SEC to adopt and implement written compliance policies and procedures Issues related to fee miscalculations, including SEC warnings to about correctly aggregating household assets for purposes of fee calculations and over-billing of advisory fees Requirements for advisory contracts, including language to include in those contracts Fiduciary duty owed by investment advisors, including the fiduciary duty owed by robo-advisors and the best execution role Meeting and exceeding clients'' expectations Business continuity rules and succession planning The pay-to-play rule

Investment Adviser s Legal and Compliance Guide 3rd Edition

Investment Adviser s Legal and Compliance Guide  3rd Edition
Author: O'Malley, Walsh
Publsiher: Wolters Kluwer
Total Pages: 990
Release: 2019-06-18
Genre: Law
ISBN: 9781543812565

Download Investment Adviser s Legal and Compliance Guide 3rd Edition Book in PDF, Epub and Kindle

Investment Adviser's Legal and Compliance Guide

Investment Adviser Regulation

Investment Adviser Regulation
Author: Clifford E. Kirsch
Publsiher: Unknown
Total Pages: 988
Release: 1996
Genre: Investment advisors
ISBN: STANFORD:36105060468019

Download Investment Adviser Regulation Book in PDF, Epub and Kindle

The Investment Advisor s Compliance Guide 2nd Edition

The Investment Advisor s Compliance Guide 2nd Edition
Author: Les Abromovitz
Publsiher: Unknown
Total Pages: 0
Release: 2017-02-22
Genre: Electronic Book
ISBN: 1941627935

Download The Investment Advisor s Compliance Guide 2nd Edition Book in PDF, Epub and Kindle

Given the current activities of SEC and state securities regulators, as well as the changing business and communication landscapes, investment advisors today must keep current with developments affecting compliance at all levels and in all jurisdictions. The Investment Advisor's Compliance Guide, 2nd Edition delivers a concise yet comprehensive explanation of the rules and how they affect the work you do on a daily basis--no matter where you're registered. The completely enhanced and updated Investment Advisor's Compliance Guide, 2nd Edition, provides highly practical guidance covering all of today's compliance issues, including: -The DOL's new fiduciary rule -RIA advertising, including the use of client testimonials, credentials, and performance results -The use of today's top social media platforms -Client communications, including disclosures -Recent ethical decisions Designed to go far beyond basic compliance rules, The Investment Advisor's Compliance Guide, 2nd Edition, will also help advisors avoid compliance issues, deal with client complaints, and grow their business with the confidence that their actions are well suited to withstand the strictest scrutiny from clients and regulators alike. The expert author, Les Abromovitz, J.D., has extensive experience handling compliance consulting assignments for Registered Investment Advisers (RIAs). In The Investment Advisor's Compliance Guide, 2nd Edition, he has created a completely up-to-date, reader-friendly, go-to-resource for investment advisors, vital for veterans but also a powerful training tool for those new to the field. .

Investment Adviser Regulation

Investment Adviser Regulation
Author: Clifford E. Kirsch
Publsiher: Unknown
Total Pages: 0
Release: 2006
Genre: Business & Economics
ISBN: 1402407718

Download Investment Adviser Regulation Book in PDF, Epub and Kindle

Investment Adviser Regulation: A Step-by-Step Guide to Compliance and the Law gives you the thorough regulatory guidance you need to understand the rules currently governing investment advisers while ensuring you keep pace with the tougher rules to come. This straightforward, easy-to-read compliance resource shows you how to file and update the pivotal Form ADV and draft compliant advisory contracts.

Investment Advisers

Investment Advisers
Author: James E. Anderson
Publsiher: Unknown
Total Pages: 135
Release: 2002
Genre: Investment advisors
ISBN: 0820527548

Download Investment Advisers Book in PDF, Epub and Kindle

International Survey of Investment Adviser Regulation

International Survey of Investment Adviser Regulation
Author: Marcia L. MacHarg
Publsiher: Unknown
Total Pages: 0
Release: 2012
Genre: Anlageberatung
ISBN: 9041136029

Download International Survey of Investment Adviser Regulation Book in PDF, Epub and Kindle

The investment management industry has seen explosive growth worldwide. As securities markets around the globe continue their development, many investment advisers seek access to an international client base and crossborder investments. These trends, plus the significant impact of the Internet as a business medium, make the regulation of investment advisers increasingly complex and important. Recently, many countries have either implemented or substantially revised their investment adviser regulations, posing new challenges for advisers with an international business focus. In this environment, knowledge of regulatory schemes around the world is essential.

Investment Management Law and Regulation

Investment Management Law and Regulation
Author: Harvey E. Bines,Steve Thel
Publsiher: Wolters Kluwer
Total Pages: 968
Release: 2004-01-01
Genre: Law
ISBN: 9780735530485

Download Investment Management Law and Regulation Book in PDF, Epub and Kindle

In its First Edition, this classic treatise called attention to the duty of reasonable care, the duty of loyalty and the public duty of fiduciaries to the marketplace. Grounded in the idea that prudent investing is to be defined by professional practices accepted as appropriate at the time of investment by the management, thereby permitting such practices to adapt to changing conditions and insights, the field of investment management law and regulation has at its center the goal of a common standard of care for investment.Now in its Second Edition, this definitive guide to investment management law and regulation helps you to profitably adapt to today's new and changing conditions and anticipate tomorrow's regulatory response.Here are just a few of the reasons why Investment Management Law and Regulation will be so valuable to you:Explains and analyzes all the ins and outs of the law, clarifies the complexities, answers your questions, points out pitfalls and helps you avoid themCovers the entire field in one volume, saves you valuable time and effort in finding information and searching through stacks of referencesEnsures compliance with all relevant regulations, makes sure nothing is overlooked, protects you against costly mistakesUpdates you on the latest important changes, tells you what is happening now and what is likely to happen in the future Investment Management Law and Regulation is the only up-to-date volume to offer a comprehensive examination of the field of investment management law, covering everything from financial theory and legal theory to the various aspects of hands-on fund management. It's the only resource of its kind that:Identifies and explains the financial theories that control the development of investment management law across management activitiesGives critical judicial, legislative, and regulatory history that makes recent law and regulation more comprehensibleCovers all areas of regulation governing the activities of investment managers, including marketing, suitability, advisory contacts, fees, exculpation and indemnification, performance, fiduciary obligations, conflicts of interest, best executionProvides the practical tools that help predict more effectively how regulators will respond to new marketplace developments and productsIntegrates investment management law and regulation for all institutional investment managersAnd more Whether you are a manager, broker, banker, or legal counsel, a seasoned professional or just starting out, this treatise will quickly become your most trusted guide through the intricacies of this complex, critical, and closely scrutinized area