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Inaccurate Trade Data Costs Firm $4.25 Million

On July 14, 2015, the Securities and Exchange Commission (“SEC”) brought an enforcement action against OZ Management LP (“OZ”), an SEC-registered investment adviser for giving inaccurate trade information to certain broker-dealers. The SEC’s final order, which was issued upon OZ’s … Read More

Anti-Money Laundering Programs: Is Your Broker-Dealer Complying?

Over the past year, there has been an increased focus on Broker-Dealer Anti-Money Laundering (“AML”) programs. Last month, Kevin Goodman, National Associate Director of the Broker-Dealer Examination Program in the Office of Compliance Inspections and Examinations (“OCIE”), spoke at the … Read More

SEC’s Director of the Division of Enforcement Reflects on the Cooperation Program

Recently, Andrew Ceresney, Director of the Division of Enforcement for the Securities and Commission Exchange (“SEC”), spoke at the University Of Texas School Of Law’s Government Enforcement Institute in Dallas. Mr. Ceresney reflected on the five-year anniversary of the SEC’s … Read More

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