Tag Archives: FINRA

Fiduciaries, We Ain’t No Stinkin’ Fiduciaries: Help for Fiduciaries and Unsuspecting Fiduciaries

As a securities attorney that represents investors and provides consulting and compliance services to RIA firms, I can honestly say that one of the most common problems I encounter with RIA firms is a failure to develop an effective risk … Continue reading

Posted in compliance, fiduciary compliance, fiduciary law, RIA, RIA Compliance, securities compliance | Tagged , , , , , , , , , , | 1 Comment

Investment Advisers and the Internet

First, the necessary disclaimer – there is no way to cover all the applicable rules and regulations regarding investment advisers and the internet in a single blog.  While it is hoped that the analysis provided herein is helpful, it is neither … Continue reading

Posted in compliance, investments | Tagged , , , , , , | 1 Comment