30 Jan 2025

📊SEC Compliance Requirements for Investment Advisers

Proposed Collection; Comment Request; Extension: Rule 204A-1

Agencies

  • Securities and Exchange Commission

Business Impact ?

$$ - Med

The content discusses compliance requirements for investment advisers under Rule 204A-1, which mandates ethical conduct and monitoring of personal securities transactions. This impacts business owners and executives by requiring adherence to these regulations, affecting operational processes and potential liabilities related to ethics violations.

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