4 minutes |
Jul 18, 2020
NSCP’s Regulatory Response During COVID-19
15 minutes |
Jul 17, 2020
An Overview of FINRA Proposed Rules in Anticipation of Regulation BI
8 minutes |
Jul 16, 2020
How Insurance is Important to Your Compliance Program
13 minutes |
Jul 15, 2020
“Senior Safe” Legislation – A Carrot and Stick
9 minutes |
Mar 2, 2020
Infusing Diversity & Inclusion Into Your Compliance Program
11 minutes |
Dec 23, 2019
Best Execution Considerations for Advisers
9 minutes |
Oct 8, 2019
Simple Ways to Maximize Your Compliance Career At Any Level
8 minutes |
Oct 8, 2019
The Top Ten Features to Look for in a Compliance Program Management System
15 minutes |
Jun 28, 2019
The SEC’s Approach to Misconduct: Drawbacks and Benefits to Self Reporting
12 minutes |
Jun 3, 2019
Prospects for Self-Reporting: The SEC’s Share Class Selection Disclosure Initiative, Part 1
15 minutes |
Jun 3, 2019
Valuation Challenges in Private Equity and Private Equity Real Estate
5 minutes |
Apr 3, 2019
The Business Case for Diversity and Inclusion
18 minutes |
Feb 26, 2019
Business Email Compromise ("BEC")
12 minutes |
Jan 7, 2019
Designing and Maximizing Annual Compliance Meetings and Compliance Training
14 minutes |
Nov 29, 2018
All GIPS® Provisions Are On the Table in 2020
13 minutes |
Oct 29, 2018
How to Master the Annual Review and Promote a Culture of Compliance: Part 3 Conclusion
18 minutes |
Sep 24, 2018
Current Trends in SEC Examinations – What to Expect Before Your Next Visit from the SEC
11 minutes |
Jul 26, 2018
How to Master the Annual Review and Promote a Culture of Compliance: Part 2 Testing and Reviews
13 minutes |
Jun 24, 2018
How to Master the Annual Review and Promote a Culture of Compliance
70 minutes |
May 26, 2018
Connecting the Dots: The SEC’s proposed rules on the standards of conduct for investment professionals