Andrew Bowden, Director of the Office of Compliance Inspections and Examinations, recently shared insights from 2 years of private equity adviser examinations, and our consultants now share a brief recap of his May 6th speech. Hear the highlights of over 150 examinations, the summary of violations, problems, and concerns surrounding fees, expenses, valuation, and marketing. Address these issues now, in advance of the next visit by regulators. You can read the full speech here.
Listen to the podcast below:
You can also download this podcast by right clicking here and selecting save as.
- Insurance Considerations for Investment Advisers
- Custody – Get It Right: Just in Time for Your Annual Updating Amendment!
- SEC and FINRA 2018 Examination Priorities
Recent ComplianceCast™ Minutes