Key Compliance Strategies For RIAs Post-Acquisition
When a registered investment adviser (RIA) goes through an acquisition, the transition period is critical for maintaining seamless operations and ensuring adherence to regulatory requirements. Understanding compliance obligations is essential...
Read More
Finding The Right RIA Compliance Partner: Ditch The “One-Size-Fits-All” Approach
In today's RIA compliance landscape, you have a choice. You can go with a large, private-equity-backed firm that offers a one-size-fits-all approach, or you can partner with AdvisorLaw, a client-focused...
Read More
AdvisorLaw’s Criminal Expungement Week for Financial Advisors
Does an outdated criminal disclosure hold you back? You're not alone. Millions of Americans face limitations in their careers and personal lives due to past mistakes reflected in their public...
Read More
2017 Termination Disclosure Wiped From Texas Advisor & CCO’s Records
About 25 years into his career, this Texas-based advisor and CCO had one termination disclosure on his records from 2017. He chose to seek expungement of the disclosure with the...
Read More
10 Questions Wirehouse Advisors Should Ask Themselves Right Now
The world of wirehouse advisors is changing. While some may enjoy a comfortable status quo, a new undercurrent of vulnerability is undeniable. Don't mistake this message for scaremongering — it's...
Read More
FINRA Expungement Awarded: Advisor Clears Name After Goldman Sachs Termination
Contact Us Today! Award Date: June 21, 2024Claimant Representative: Chelsea Bauer, J.D., HLBS LawRespondent Firm: Goldman Sachs & Co. LLC Case Objective: This Florida-based investment adviser and former broker has...
Read More
Fort Worth Advisor’s Customer Dispute With $800,000 Settlement Expunged
After more than 20 years in the financial services industry, this advisor had a single customer dispute on his CRD and BrokerCheck records. In hopes of restoring his perfect record,...
Read More
Don’t Be A Statistic: 10 Compliance Fails That Can Sink Your RIA
The world of registered investment advisors (RIAs) is a land of opportunity. But it's also a minefield of regulations. A single misstep can lead to hefty fines, reputational damage, and...
Read More
Staying Compliant: Key Takeaways From The SEC’s Recent Webinar
The SEC recently held a webinar focused on exam priorities and what advisors can expect during the examination process. Here's a breakdown of the key takeaways for registered investment advisors...
Read More
Illinois Advisor Wins Expungement Of Two Settled Claims Covered By E&O Insurance
An Illinois-based advisor who began his career in the industry in 1976 had two customer disputes that he wanted expunged from his records. He hired HLBS Law to take advantage...
Read More
Seeking Freedom? AdvisorLaw Can Help You Launch Your RIA
Are you a financial advisor who’s yearning to break free and build a practice on your terms? Financial advisors are increasingly drawn to the allure of independence. But this path...
Read More
New DOL Rule: A Q&A For RIAs & Private Funds
The Department of Labor (DOL) has issued yet another new rule set to shake things up for financial professionals who assist investors with their qualified retirement accounts. Here's a breakdown...
Read More
New Jersey Advisor Wins Expungement Of Denied 2006 Customer Dispute
This New Jersey-based advisor in the midst of his fourth decade in the financial services industry had a single disclosure on his BrokerCheck record, which was a denied dispute from...
Read More
AdvisorLaw Wins Dispute Expungement, Clears Connecticut Advisor’s Record
An advisor in Connecticut had two customer disputes from 2002 and 2003 on an otherwise clean record that dated back to 1997. After living with the marks for more than...
Read More
FINRA Expungement Costs Skyrocket: Exploring Alternative Forums
As recently reported, new FINRA data reveals a significant drop in expungement requests through its own Dispute Resolution forum, since the implementation of stricter policies in October of last year....
Read More
New Jersey Advisor Wipes Sole Disclosure From His Public Records
This New Jersey-based advisor had been in the industry for about 24 years with an exemplary track record. But one, denied customer dispute on his records since 2016 indicated otherwise....
Read More
RIA M&A In 2024: Navigating The Evolving Landscape
The registered investment advisor (RIA) M&A market is undergoing a significant transformation. After a decade of continuous growth, deal volume witnessed a slight dip in 2023. However, industry experts anticipate...
Read More
50-Plus-Year Industry Veteran Wins Expungement Of Two Disclosures
A Santa Monica, California-based advisor entering his 51st year in the industry sought to expunge two denied claims from his CRD and public BrokerCheck records. He hired HLBS Law to...
Read More
Noncompete Clauses KO’d By FTC: What Financial Professionals Need To Know
For decades, noncompete clauses have been a standard part of employment contracts in the financial services industry. These clauses restricted financial professionals' ability to move to competitors, after leaving their...
Read More
Minnesota Advisor’s Records Restored With 2011 Dispute Expungement
Approaching his 20th anniversary in the industry, this Minnesota-based advisor had a single customer dispute staining his otherwise spotless records. He hired AdvisorLaw to bring him through FINRA’s Dispute Resolution...
Read More