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JORDEN BURT ALERT: SEC Staff Issues ComplianceAlert Letter to CCOs
July 23, 2008

On July 22, 2008, the SEC staff released its second ComplianceAlert letter summarizing common areas of deficiency and weakness in compliance and supervisory controls identified in routine and targeted examinations of SEC-registered investment advisers, investment companies, broker-dealers and transfer agents.

To read the Client Alert, click here.

To read the ComplianceAlert letter, click here.