Breaking Away: The Myths And Realities Of Leaving A Wirehouse
Mergers & Acquisitions Starting your own RIA Transitions

Breaking Away: The Myths And Realities Of Leaving A Wirehouse

Financial advisors face a major decision when it comes to their professional future: whether to remain affiliated with their wirehouse or break away and start their own registered investment advisor...
Read More
SEC’s Cybersecurity Rule: What RIAs & Funds Need To Know
FINRA, SEC, State & CFP Board Enforcement RIA Compliance

SEC’s Cybersecurity Rule: What RIAs & Funds Need To Know

The Securities and Exchange Commission (SEC) has decided to reopen the public comment period for the cybersecurity rule it initially proposed last year. This decision came on the same day...
Read More
What events will trigger a FINRA inquiry?
FINRA Disputes & U5 Terminations FINRA Expungement & Arbitration FINRA, SEC, State & CFP Board Enforcement IRS Tax Liens & Disclosures RIA Compliance

What events will trigger a FINRA inquiry?

The longer your career as a financial advisor, the higher your chances of being hit with the dreaded FINRA inquiry. That’s why it’s important to know exactly what will trigger...
Read More
FINRA’s Rule 4111 & New “Restricted” Label On BrokerCheck
FINRA Disputes & U5 Terminations FINRA Expungement & Arbitration FINRA, SEC, State & CFP Board Enforcement

FINRA’s Rule 4111 & New “Restricted” Label On BrokerCheck

The Financial Industry Regulatory Authority (FINRA) announced that effective June 1st, 2023, firms with a history of misconduct will be labeled with a "restricted" designation on BrokerCheck. This marker will...
Read More
Boca Raton Advisor Expunges Four, 20-Year-Old Disclosures
Case Results & Wins

Boca Raton Advisor Expunges Four, 20-Year-Old Disclosures

In the five-year period between 1997 and 2002, this 35-plus-year veteran advisor in Boca Raton, Florida amassed five customer dispute disclosures on his CRD and public BrokerCheck records. After living...
Read More
Massachusetts Advisor Clears Record Of U5 Termination
Case Results & Wins

Massachusetts Advisor Clears Record Of U5 Termination

Just five years into his career as a financial services professional, this advisor was terminated and hit with a disclosure alleging a violation of the firm’s expense policy. Wanting the...
Read More
Newly Registered RIAs Under Increased Scrutiny
FINRA, SEC, State & CFP Board Enforcement RIA Setup & Registration

Newly Registered RIAs Under Increased Scrutiny

Over the last five years, the number of registered investment advisors has significantly increased by more than 20%, causing the SEC to take notice. As a result, the SEC's exam...
Read More
AdvisorLaw Thwarts U5 Weaponization for Successful Move
FINRA Disputes & U5 Terminations Successful Transitions Transitions

AdvisorLaw Thwarts U5 Weaponization for Successful Move

AdvisorLaw is pleased to announce a time-sensitive transition of a $650K-producing client of ours, to a national firm. After nearly two decades of experience in the industry, this advisor sensed...
Read More
Maintaining Compliance In 2023: The Ultimate RIA Checklist
FINRA, SEC, State & CFP Board Enforcement RIA Compliance

Maintaining Compliance In 2023: The Ultimate RIA Checklist

As a registered investment advisor (RIA) or RIA firm, it is crucial to prioritize compliance regulations to maintain your license and protect your clients. Staying up to date with the...
Read More
Texas Advisor Removes 2008 Settled Customer Dispute
Case Results & Wins

Texas Advisor Removes 2008 Settled Customer Dispute

A 41-year industry veteran had a stellar public record — with the exception of a 2008 customer dispute. The claim had arisen out of auction rate security illiquidity in 2008....
Read More
What Cetera’s Warning Means For Independent Advisors
FINRA, SEC, State & CFP Board Enforcement Mergers & Acquisitions Selling RIA Transitions

What Cetera’s Warning Means For Independent Advisors

It is common knowledge in the financial industry that brokers who work for independent broker-dealers (IBDs) are independent contractors, meaning that they are not employees of the firm. Rather, they...
Read More
36-Year Veteran Wins FINRA Dispute Arbitration
Case Results & Wins

36-Year Veteran Wins FINRA Dispute Arbitration

This Chicago-based advisor’s career spans more than 35 years, and he had a perfect record, aside from one settled dispute from 2014. He wanted to take his shot at expunging...
Read More
FINRA’s New Expungement Rule: An Authoritarian Overreach
FINRA Expungement & Arbitration

FINRA’s New Expungement Rule: An Authoritarian Overreach

Response by: President & Founder, Doc Kennedy, J.D., MBA *As of Thursday, April 27th, 2023, AdvisorLaw will no longer be filing customer dispute expungement cases with FINRA* AdvisorLaw’s expungement services...
Read More
Oregon Advisor Wipes Two 2021 Customer Disputes From Records
Case Results & Wins

Oregon Advisor Wipes Two 2021 Customer Disputes From Records

In 2021, after two decades in the industry, this Oregon advisor was hit with two customer disputes alleging unsuitability. Both had been settled for relatively-nominal amounts, but the advisor wanted...
Read More
What types of disclosures can be expunged from FINRA’s BrokerCheck site?
FINRA Disputes & U5 Terminations FINRA Expungement & Arbitration FINRA, SEC, State & CFP Board Enforcement IRS Tax Liens & Disclosures

What types of disclosures can be expunged from FINRA’s BrokerCheck site?

Did you know that there are more than 25 different types of disclosures that FINRA uses to mark up BrokerCheck records? This week, on "Ask An AdvisorLaw Expert," we talk...
Read More
Houston Advisor Removes 2021 Termination Disclosure
Case Results & Wins

Houston Advisor Removes 2021 Termination Disclosure

As he approached 30 years of experience in the financial services industry, this Houston-based advisor was blindsided by termination and a corresponding disclosure with allegations in 2021. Seeking to restore...
Read More
The Dangers Of Off-Channel Communication For Advisors
FINRA, SEC, State & CFP Board Enforcement RIA Compliance

The Dangers Of Off-Channel Communication For Advisors

The rise of messaging apps has revolutionized the way we communicate, but their use in the financial sector has become a major compliance challenge for brokerage and advisory firms alike. ...
Read More
AdvisorLaw Helps $1M Advisor Team Move to National Firm
Acquisition Mergers & Acquisitions Successful Transitions Transitions

AdvisorLaw Helps $1M Advisor Team Move to National Firm

AdvisorLaw is pleased to announce the transition of a $1 million-producing, husband-and-wife team, to a national firm. The independent firm veterans, who have over 50 years of experience combined, first...
Read More
Virginia Advisor Once Again Boasts Perfect Public Record
Case Results & Wins

Virginia Advisor Once Again Boasts Perfect Public Record

More than 30 years into his career in the financial services industry, this Virginia-based Advisor had a stellar record, aside from two denied customer disputes that had hit his records...
Read More
Simplify RIA Compliance With AdvisorLaw’s Nexus Platform
RIA Compliance

Simplify RIA Compliance With AdvisorLaw’s Nexus Platform

We are excited to announce the release of our new Nexus Enterprise Platform demonstration! Nexus is specifically designed to help registered investment advisors (RIAs) to navigate the ever-increasing complexity of...
Read More
1 2 3 14