Skip to content
NCA Compliance, Inc.
  • Home
  • Services
    • SEC Mock Exam Services
    • Forensic Testing / Annual Review
    • Chief Compliance Officer (CCO) Outsourcing
    • RIA Registration (SEC or State)
    • Policies and Procedures
    • Marketing / Advertising Review
    • Regulatory Filings
  • About
  • News and Resources
  • Contact Us
Menu

CCO

  1. Home>
  2. CCO
SEC Announces 2026 Exam Priorities for Investment Advisors
NCA Compliance Resources

SEC Announces 2026 Exam Priorities for Investment Advisors

The SEC’s Division of Examinations announced its 2026 exam priorities yesterday. These SEC exam priorities are announced each year to help promote and improve compliance and protect investors.

0 Comments
November 18, 2025
SEC Withdraws a Number of Proposed Rules
NCA Compliance Resources

SEC Withdraws a Number of Proposed Rules

The SEC announced yesterday that it is formally withdrawing a number of rules that had been proposed over the past few years, including several that would have significantly impacted SEC-registered…

0 Comments
June 13, 2025
New 2025 SEC Exam Priorities for Investment Advisors
NCA Compliance Resources

New 2025 SEC Exam Priorities for Investment Advisors

The SEC’s Division of Examinations (the “Division”) announced its 2025 exam priorities yesterday. These SEC exam priorities are announced each year to help promote and improve compliance and protect investors.…

0 Comments
October 22, 2024
SEC Short Sale Disclosure Rule
NCA Compliance Resources

SEC Short Sale Disclosure Rule

Last year, the SEC adopted a new rule under the Securities Exchange Act of 1934 (“Exchange Act”) that requires institutional investment managers that meet or exceed certain reporting thresholds to…

0 Comments
September 18, 2024
SEC Enhances Rules to Protect Personal Information
NCA Compliance Resources

SEC Enhances Rules to Protect Personal Information

Covered institutions like SEC-registered investment advisors will be required to create an incident response program as part of their written policies and procedures. This program must be reasonably designed to detect, respond to, and recover from unauthorized access to or use of customer information.

0 Comments
May 20, 2024
SEC Amends Rules Governing Beneficial Ownership
NCA Compliance Resources

SEC Amends Rules Governing Beneficial Ownership

The SEC adopted yesterday rule amendments relating to the reporting of beneficial ownership under Sections 13(d) and 13(g) of the Securities Exchange Act of 1934 (“Exchange Act”).

0 Comments
October 11, 2023
SEC Adopts Private Fund Advisor Reforms
NCA Compliance Resources

SEC Adopts Private Fund Advisor Reforms

The SEC has adopted significant rules and amendments under the Investment Advisers Act of 1940 relating to private fund advisers.

0 Comments
August 24, 2023
SEC Adopts Amendments to Form PF
Form PF
NCA Compliance Resources

SEC Adopts Amendments to Form PF

Last month, the SEC adopted amendments to Form PF. These amendments enhance the reporting requirements for certain SEC registered investment advisors that advise private funds. BACKGROUND Form PF is a…

0 Comments
June 8, 2023
SEC Proposes Changes to Regulation S-P
NCA Compliance Resources

SEC Proposes Changes to Regulation S-P

Earlier this month, the SEC announced proposed amendments to Regulation S-P  that would enhance the protection of customer information by requiring that investment advisers (as well as broker-dealers, investment companies,…

0 Comments
March 21, 2023
SEC Proposes Changes to Custody Rule
NCA Compliance Resources

SEC Proposes Changes to Custody Rule

In February, the SEC announced a proposal to significantly revise Rule 206(4)-2 (the “Custody Rule”) to help provide additional protections to client assets. Specifically, under the proposal, the Custody Rule…

0 Comments
March 12, 2023
  • 1
  • 2
  • 3
  • 4
  • Go to the next page
NCA Compliance, Inc. is not an investment advisor, law firm, or CPA firm and does not offer legal and/or tax advice. You should always consult your relevant regulatory authorities. Copyright NCA Compliance, Inc.
Close Menu