RIA Registration For Financial Advisors: A Seamless Transition
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RIA Registration For Financial Advisors: A Seamless Transition

The decision to transition from a broker-dealer to a stand-alone registered investment advisor (RIA) is a significant step for financial advisors. While it offers increased independence and the ability to...
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Cybersecurity Compliance For RIAs In The Age Of Increased Scrutiny
RIA Compliance SEC & State | RIAs & IARs

Cybersecurity Compliance For RIAs In The Age Of Increased Scrutiny

The recent $10 million fine levied against the Intercontinental Exchange (ICE) for a delayed cybersecurity incident report serves as a stark warning for registered investment advisors (RIAs). The SEC's message...
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Unsuitability Claims: Navigating Investor Expectations
FINRA | Brokers FINRA Expungement & Arbitration FINRA, SEC, State & CFP Board Enforcement

Unsuitability Claims: Navigating Investor Expectations

The financial advisory industry operates in a complex regulatory environment, where the potential for misunderstandings and disputes can arise. One such area of contention is the concept of "suitability." While...
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DC Advisor Wins Full Expungement Of 2017 Termination Disclosure In FINRA Arbitration
Case Results & Wins

DC Advisor Wins Full Expungement Of 2017 Termination Disclosure In FINRA Arbitration

This current investment adviser representative (IAR) and previous broker, located in Washington, DC, had one disclosure in her 23 years in the industry. The mark was a termination disclosure from...
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Wisconsin Advisor Wins Expungement Of Termination Disclosure Despite LPL Opposition
Case Results & Wins

Wisconsin Advisor Wins Expungement Of Termination Disclosure Despite LPL Opposition

More than 22 years into his career in the financial services industry, this Wisconsin-based financial advisor was terminated by LPL — and his pristine record was scarred with an “employment...
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SEC Marketing Rule Compliance: Essential Tips For RIAs
RIA Compliance SEC & State | RIAs & IARs

SEC Marketing Rule Compliance: Essential Tips For RIAs

Marketing reviews for registered investment advisers are not a one-size-fits-all approach. The SEC's marketing rule (17 CFR § 275.206(4)-1), effective May 4, 2021, ushered in a new era of regulations...
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Financial Advisor Exit Strategies: A Smooth Transition To Retirement
FINRA | Brokers SEC & State | RIAs & IARs Selling RIA Succession Planning Transitions

Financial Advisor Exit Strategies: A Smooth Transition To Retirement

Financial advising offers a rewarding career, but navigating a successful exit can be tricky. This guide provides a roadmap for financial advisors (FAs) and registered investment advisors (RIAs) seeking a...
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South Dakota Advisor’s Termination Disclosure Revised After AWC, Fine, & Suspension
Case Results & Wins

South Dakota Advisor’s Termination Disclosure Revised After AWC, Fine, & Suspension

In 2022, this South Dakota-based investment adviser representative (IAR) and former broker was 12 years into his career in the industry, when he was hit with a termination, a Form...
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The Hidden Costs of Helping Clients: How to Avoid Unintended Custody
RIA Compliance SEC & State | RIAs & IARs

The Hidden Costs of Helping Clients: How to Avoid Unintended Custody

Uncover the hidden costs of taking on client custody. Learn how seemingly small favors like becoming a trustee or executor can lead to significant financial burdens and regulatory risks. Protect...
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Advisor Clears Records In Time For 40th Financial Services Career Anniversary
Case Results & Wins

Advisor Clears Records In Time For 40th Financial Services Career Anniversary

This California advisor is approaching four strong decades in the financial services industry. Yet his perfect record was recently marred with three settled customer disputes incurred between 2021 and 2023....
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New York Advisor Celebrates 25-Year-Career With Newly Clean Records
Case Results & Wins

New York Advisor Celebrates 25-Year-Career With Newly Clean Records

A New York-based financial advisor approaching 25 years in the industry had three customer dispute disclosures on his records. Hoping to enter his 25th year with a clear record, he...
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Scrutinizing FINRA’s Budget: Rational Spending or Excess?
FINRA | Brokers FINRA, SEC, State & CFP Board Enforcement

Scrutinizing FINRA’s Budget: Rational Spending or Excess?

A few years ago, AdvisorLaw dug into FINRA’s 2021 annual report and budget and posted a comprehensive breakdown of FINRA’s fee increases at the time. Specifically, we noted how there...
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Texas Advisor Wins Expungement Of Two Disputes Filed Out Of Customer Frustration
Case Results & Wins

Texas Advisor Wins Expungement Of Two Disputes Filed Out Of Customer Frustration

An advisor out of Texas who has been in the industry for more than 25 years had two customer disputes on his otherwise flawless records—both of which were over a...
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Key Compliance Strategies For RIAs Post-Acquisition
RIA Compliance Successful Transitions

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...
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Finding The Right RIA Compliance Partner: Ditch The “One-Size-Fits-All” Approach
RIA Compliance SEC & State | RIAs & IARs

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...
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AdvisorLaw’s Criminal Expungement Week for Financial Advisors
FINRA | Brokers FINRA Expungement & Arbitration

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...
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2017 Termination Disclosure Wiped From Texas Advisor & CCO’s Records
Case Results & Wins

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...
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California Advisor Restores Perfect Records With Dispute Expungement
Case Results & Wins

California Advisor Restores Perfect Records With Dispute Expungement

This California advisor has maintained a perfect public BrokerCheck record since early 1998 — except for a single customer dispute in 2016. In hopes of getting the mark expunged, he...
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10 Questions Wirehouse Advisors Should Ask Themselves Right Now
Financial Advisor Transition FINRA | Brokers RIA Setup & Registration

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...
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FINRA Expungement Awarded: Advisor Clears Name After Goldman Sachs Termination
Case Results & Wins

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...
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