Tag: Regulatory Insights

  • CCI product summary template overview

    CCI product summary template overview

    Lewis Davison from Confluence will take you through the key design principles and elements of our CCI product summary template.

    Apr 17, 2026
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  • Reg SP compliance countdown: key steps before June 3

    Reg SP compliance countdown: key steps before June 3

    Watch the March After the Alert with Doug Preveza.

    Apr 15, 2026
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  • The Reg S-P compliance deadline is right around the corner

    The Reg S-P compliance deadline is right around the corner

    The SEC's 2024 amendments to Regulation S-P take effect June 3 for smaller firms. If your incident response plan, written information security program, & vendor oversight aren't in place, this is now urgent and the time to act is now

    Apr 15, 2026
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  • Testing, testing – CCI and the Consumer Duty

    Testing, testing – CCI and the Consumer Duty

    Intro The introduction of the UK Consumer Composite Investments (CCI) framework via PS25/20 represents a step-change in the design and delivery of fund disclosures. Gone are the rigid, regulatory-prescribed formats of old, in favour of a more flexible approach enabling asset managers, insurers and other in-scope product manufacturers to better tailor information delivery to end […]

    Apr 15, 20265 min read
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  • New $300 FINRA gift limit and clarifications to Rule 3220

    New $300 FINRA gift limit and clarifications to Rule 3220

    FINRA’s amendments to Rule 3220 (Influencing or Rewarding Employees of Others) mark one of the most significant updates to the gifts and gratuities framework in decades. While the headline change—the increase in the annual gift limit from $100 to $300—has drawn attention, the more meaningful impact lies in FINRA’s clarification of expectations around valuation, aggregation, supervision, and […]

    Apr 15, 20265 min read
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  • New year, new updates (January 2026)

    New year, new updates (January 2026)

    Jan 27, 2026
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  • Regulatory fines and the rising burden of compliance: How investment managers can stay ahead

    Regulatory fines and the rising burden of compliance: How investment managers can stay ahead

    In today’s global investment landscape, compliance is no longer just a checkbox exercise — it’s a critical factor in protecting firms from financial and reputational risk. Regulators are increasingly vigilant, and the consequences of reporting failures can be severe. From the BaFin €600,000 fine in Germany for voting rights disclosure lapses to scrutiny from the SECand the FCA, investment […]

    Jan 26, 20263 min read
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  • November compliance alert: Key updates and best practices

    November compliance alert: Key updates and best practices

    Dec 01, 2025
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  • From settlement speeds to strategic supervision: Regulation in transition

    From settlement speeds to strategic supervision: Regulation in transition

    Introduction November’s regulatory developments reflect a continued recalibration of global supervision—faster markets, evolving consumer protections, and continuing regulatory attention on operational resilience. Europe is preparing for a move to T+1 settlement, expected to enhance efficiency but likely to test readiness across post-trade processes. In the UK, the FCA is refining both its MiFID organizational rules and the […]

    Nov 11, 202510 min read
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  • October compliance update: Cybersecurity and action items

    October compliance update: Cybersecurity and action items

    Oct 27, 2025
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  • Regulation in motion: Preparing for disclosure, oversight, and data-led supervision

    Regulation in motion: Preparing for disclosure, oversight, and data-led supervision

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Oct 15, 202510 min read
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  • Fall compliance cleanup: CE, S-ID, Reg S-P, and more

    Fall compliance cleanup: CE, S-ID, Reg S-P, and more

    As we leave summer behind and enter into the latter part of the year, its important to keep an eye on continuing education requirements.

    Sep 18, 2025
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  • Fall focus: Business continuity plans

    Fall focus: Business continuity plans

    This month's report highlights the benefits of business continuity plans.

    Aug 27, 2025
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  • Surviving daunting regulatory exams: Key takeaways from compliance pros who’ve been there

    Surviving daunting regulatory exams: Key takeaways from compliance pros who’ve been there

    Key takeaways Regulatory exams are faster, smarter, and still coming Coinciding with changes in regulatory priorities under new leadership, the SEC’s exam division remains active and committed to its risk-based approach, seeking to annually review approximately 10% of the 16,000 advisors servicing about $145 trillion in AUM. In addition, remote and hybrid exams are most […]

    Aug 15, 20254 min read
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  • Key compliance reminders: DOL rollover rule & fee billing accuracy

    Key compliance reminders: DOL rollover rule & fee billing accuracy

    For this month’s alert, there were two key pieces that we wanted to point out and expand on as we feel could offer some additional insights and helpful tips for your practice.

    Aug 11, 2025
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  • Five regulatory reporting market trends to watch: from complexity to efficiency

    Five regulatory reporting market trends to watch: from complexity to efficiency

    Key takeaways The regulatory landscape is complex and constantly evolving. Across financial services, firms are facing a wave of change: tighter deadlines, deeper disclosures, and shifting expectations from regulators and clients. Balancing deregulation in some jurisdictions while obligations expand in others, today’s compliance leaders are challenged to keep up and adjust faster than ever before. […]

    Aug 05, 20256 min read
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  • AML rule delayed, not derailed: What advisers need to know now

    AML rule delayed, not derailed: What advisers need to know now

    Introduction In a move that surprised few but still raised eyebrows, the Financial Crimes Enforcement Network (FinCEN) has officially postponed the effective date of its long-anticipated Anti-Money Laundering (AML) rule for Registered Investment Advisers (RIAs) and Exempt Reporting Advisers (ERAs). Originally slated to take effect on January 1, 2026, the rule is now delayed until […]

    Aug 04, 20254 min read
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  • Regulatory reform in focus: Preparing for the next wave of simplification

    Regulatory reform in focus: Preparing for the next wave of simplification

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Aug 04, 20258 min read
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  • UK reference data for shareholder disclosures

    UK reference data for shareholder disclosures

    Confluence Regs without borders series, with Aspasia Latsi - Regulatory Analyst at Confluence

    Jul 16, 2025
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  • Regulatory reset

    Regulatory reset

    SEC formally withdraws 14 rule proposals

    Jun 20, 20253 min read
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  • Compliance reminders & vendor risk insights for July

    Compliance reminders & vendor risk insights for July

    Here’s a quick recap of what’s new and what need your attention this month. This month’s alert covers several key compliance areas.

    Jun 12, 2025
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  • Navigating the UK’s Short Selling and Position Limits Reforms in 2025

    Navigating the UK’s Short Selling and Position Limits Reforms in 2025

    The UK’s financial landscape is evolving with significant regulatory changes in short selling and position limits set to take effect in 2025 and 2026. These reforms are part of HM Treasury’s broader strategy to modernize financial services post-Brexit, ensuring competitiveness and growth for UK markets. Here’s what asset managers need to know about the upcoming […]

    May 09, 20253 min read
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  • FCA proposes key simplifications under CCI framework in latest consultation (CP25/9)

    FCA proposes key simplifications under CCI framework in latest consultation (CP25/9)

    On 16 April 2025, the FCA published a subsequent consultation (to CP24/30) on certain specific provisions under the incoming CCI framework (CP 25/9), which runs through to 28 May 2025. Within the same update, the FCA indicates that it expects to publish the final rules via a policy statement in late 2025. As such, if we […]

    Apr 23, 20254 min read
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  • AIFMD II, ECB & EDGAR updates: what you need to know

    AIFMD II, ECB & EDGAR updates: what you need to know

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Apr 19, 202512 min read
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  • Adapting to ECB’s new reporting standards: Are you ready?

    Adapting to ECB’s new reporting standards: Are you ready?

    Changes to investment fund statistical reporting adopted by the European Central Bank (ECB) are set to take effect in December 2025, and national central banks, such as the Central Bank of Ireland (CBI) and Banque Centrale du Luxembourg (BCL) have published their jurisdiction-specific reporting requirements.

    Apr 16, 20253 min read
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  • Raising the bar: What the ECB’s reporting changes mean for investment funds

    Raising the bar: What the ECB’s reporting changes mean for investment funds

    The financial industry is no stranger to regulatory evolution, but the European Central Bank’s (ECB) updated reporting requirements for investment funds mark a significant shift that will demand considerable adaptation from market participants. Set to take effect in December 2025, these changes will impact funds operating across the European Union and their administrators, introducing greater reporting frequency, […]

    Apr 04, 20255 min read
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  • Form PF 101 requirements and deadlines

    Form PF 101 requirements and deadlines

    An overview of the SEC's latest private fund reporting requirements and deadlines.

    Feb 27, 20254 min read
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  • Updates to Form PF: Sections 1 and 2

    Updates to Form PF: Sections 1 and 2

    The US Securities & Exchange Commission (SEC) is making major changes to Sections 1 and 2 of Form PF, starting with Q1 2025 reporting. Are you ready?

    Feb 14, 2025
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  • The Importance of an Annual Updating Amendment for Investment Advisors

    The Importance of an Annual Updating Amendment for Investment Advisors

    Investment advisors have a crucial responsibility: maintaining transparency and compliance with regulatory standards. One key aspect of fulfilling this responsibility is filing an annual updating amendment of Form ADV with the Securities and Exchange Commission (SEC) or the state regulator for state-registered firms. This filing must be made within 90 days of the advisor’s fiscal […]

    Feb 04, 20253 min read
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  • SFDR in 2025: fixes, challenges, and what’s next

    SFDR in 2025: fixes, challenges, and what’s next

    It doesn’t feel like five minutes have passed since the EU’s Sustainable Finance Disclosure Regulation (SFDR) first became applicable, particularly the product-level disclosures that took effect in January 2023. Expected changes to this framework should be finalized in 2025. Meanwhile, the UK’s ‘Sustainability Disclosure Requirements’ (SDR) framework has taken a different approach to disclosures. Despite […]

    Jan 08, 20256 min read
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  • Shareholder disclosure and managed holdings

    Shareholder disclosure and managed holdings

    Key Global Insights from Aosphere’s Faye Sutherland

    Dec 05, 2024
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  • Navigating EU regulations: expectations for 2025 and beyond

    Navigating EU regulations: expectations for 2025 and beyond

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Dec 04, 202410 min read
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  • Investment firms and the Trump administration: what’s next?

    Investment firms and the Trump administration: what’s next?

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Nov 14, 20249 min read
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  • Mastering 13f-2 Reporting: Key Insights for Staying Ahead of the Curve

    Mastering 13f-2 Reporting: Key Insights for Staying Ahead of the Curve

    With the new 13f-2 reporting rules fast approaching, the latest webinar from Confluence and SEI Regulatory Services, Navigating 13f-2 Reporting: Expert Insight and Strategic Approaches, shed light on the critical aspects of compliance. With a compliance deadline of January 2, 2025 approaching fast, the session offered an in-depth look at regulatory expectations, practical steps for compliance, […]

    Oct 29, 20244 min read
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  • Surviving Form PF: What to expect and how to prepare with confidence

    Surviving Form PF: What to expect and how to prepare with confidence

    Confluence recently hosted a webinar, Prioritizing Form PF – Before It’s Too Late, where experts from Confluence and international law firm Mayer Brown explained the changes required for all filers, and especially large hedge funds advisors who will need to conduct a holistic review of their Form PF preparation processes efficiently and accurately. The webinar was […]

    Oct 28, 20245 min read
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  • Form PF and AML compliance: key considerations

    Form PF and AML compliance: key considerations

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Oct 22, 20249 min read
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  • The big picture: a global perspective on U.S. disclosure regulations

    The big picture: a global perspective on U.S. disclosure regulations

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Sep 21, 202415 min read
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  • Practical strategies: Creating compliant performance advertisements

    Practical strategies: Creating compliant performance advertisements

    Sep 12, 2024
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  • Position Limits: Finding the Spot Effective Period

    Position Limits: Finding the Spot Effective Period

    Aug 15, 2024
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  • Form PF overhaul: Are you ready for the biggest changes yet?

    Form PF overhaul: Are you ready for the biggest changes yet?

    The Securities and Exchange Commission’s (SEC) third set of Form PF amendments in the past 12 months-arguably the most substantial yet-is set to significantly impact all filers, with large hedge funds expected to bear the brunt of these changes. What will this mean for your firm’s compliance team, risk controls, and day-to-day operations? Does your […]

    Aug 13, 20245 min read
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  • AIFMD II and SEC Names Rule: what you need to know

    AIFMD II and SEC Names Rule: what you need to know

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Aug 06, 202413 min read
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  • Tech in transaction reporting: new ID rules and ESG changes

    Tech in transaction reporting: new ID rules and ESG changes

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Jul 24, 20247 min read
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  • U.S. Supreme Court curbs regulatory power

    U.S. Supreme Court curbs regulatory power

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Jul 09, 202413 min read
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  • How to research shareholder disclosure

    How to research shareholder disclosure

    Jul 09, 2024
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  • UK election and SEC Marketing Rule: key takeaways

    UK election and SEC Marketing Rule: key takeaways

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Jun 03, 20249 min read
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  • Private fund adviser reforms and EU due diligence updates

    Private fund adviser reforms and EU due diligence updates

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    May 15, 202414 min read
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  • Unpacking SEC Amendments to Form PF Sections 1 and 2 Video

    Unpacking SEC Amendments to Form PF Sections 1 and 2 Video

    May 14, 2024
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  • Decoding the SEC’s latest form PF amendments: What you need to know before the March 2025 deadline

    Decoding the SEC’s latest form PF amendments: What you need to know before the March 2025 deadline

    The SEC’s latest changes to Form PF are here, and they’re shaking things up in a major way for US private fund advisors. Forget business as usual—these changes require a holistic review of existing reporting methodologies and processes. This represents a significant challenge for private fund advisors and their service providers, but it can also […]

    May 13, 20246 min read
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  • EMIR reporting enhancements: transitioning to T+1

    EMIR reporting enhancements: transitioning to T+1

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Apr 29, 20247 min read
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  • Climate disclosure rule: implications of a Trump victory for the SEC agenda

    Climate disclosure rule: implications of a Trump victory for the SEC agenda

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Mar 23, 20248 min read
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  • AIFMD II and SEC reforms: what to expect in 2024

    AIFMD II and SEC reforms: what to expect in 2024

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Feb 14, 20248 min read
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  • ESG requirements and EU reporting: navigating the changes

    ESG requirements and EU reporting: navigating the changes

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Jan 04, 20249 min read
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  • Navigating new SEC rules, ESG deadlines, and AI developments

    Navigating new SEC rules, ESG deadlines, and AI developments

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Dec 11, 20239 min read
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  • Navigating PRIIPs & UCITS challenges: Preparing for the annual refresh

    Navigating PRIIPs & UCITS challenges: Preparing for the annual refresh

    With the Packaged Retail and Insurance-based Investment Products (PRIIPs) Key Information Document (KID) transition complete and the industry looking forward, Confluence’s Shane Flatman and Stephane Turpin took the time to reflect on the move from UCITS KIID to PRIIPs KID overall in a recent webinar. And now that we’re in the fourth quarter of the year, now is the time to start the process of refreshing your PRIIPs KIDs and UCITS KIIDs. Here, we discuss the key areas and challenges the industry worked through as part of the transition and the crucial areas KID producers should focus on to ensure they are ready for the annual refresh.

    Dec 07, 202312 min read
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  • The new SEC short selling rule will keep us occupied for quite some time

    The new SEC short selling rule will keep us occupied for quite some time

    Much ink has lately been spilled over the new Short Sale reporting rule in the U.S. New Rule 13f-2 was adopted by the Securities and Exchange Commission (‘SEC’) to shed more light upon Short-Selling in the wake of GameStop saga. It is no wonder that those concerned have raised pertinent questions in this regard.

    Dec 04, 20233 min read
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  • ESG reporting and SEC amendments: key changes you should know

    ESG reporting and SEC amendments: key changes you should know

    Explore our RegTech Reports. Your trusted source for essential insights into regulatory technology and industry updates. This curated collection of reports, blogs, and video series covers a wide range of topics, from upcoming regulatory changes to the latest technological advancements, helping you navigate the complexities of compliance with confidence.

    Nov 25, 20237 min read
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  • How are investors impacted by the modernization of the beneficial ownership reporting in the US?

    How are investors impacted by the modernization of the beneficial ownership reporting in the US?

    The modernization of the Beneficial Ownership reporting has been a long-discussed topic by the Securities and Exchange Commission (“SEC”) in the U.S. It therefore comes as no surprise that the adoption of amendments to Regulation 13D-G a few days ago is big news, as a large number of investors will have to comply with the […]

    Oct 31, 20236 min read
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  • SEC Marketing Rule: Simplifying & automating composites and GIPS® reports

    SEC Marketing Rule: Simplifying & automating composites and GIPS® reports

    This series focuses on the key insights from our recent webinar, Composites Best Practices: Staying ahead of the composites compliance and regulatory curve. Our panel featured composites and Global Investment Performance Standards (GIPS®) industry experts, plus esteemed panelists from Guardian Performance Solutions LLC and Madison Investment Services.

    Oct 05, 20234 min read
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  • SEC Marketing Rule: Best practices for simplifying and automating composites and GIPS® reports

    SEC Marketing Rule: Best practices for simplifying and automating composites and GIPS® reports

    Navigating the intricate landscape of investment management demands a delicate balance between regulatory compliance, operational efficiency and delivering accurate and meaningful data. As firms grapple with managing numerous composites, meeting tight deadlines, and adhering to evolving industry standards, the need for simplification and automation becomes increasingly evident. Here, we explore how firms can harness the […]

    Oct 05, 20235 min read
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  • SEC Marketing Rule: Do you switch to model fees?

    SEC Marketing Rule: Do you switch to model fees?

    Under the GIPS® Standards, investment advisers can include non-fee-paying accounts in composites without having to apply a model fee, so long as the composite’s GIPS Report includes appropriate disclosure. However, the SEC now expects advisers to apply a model fee to these non-fee-paying accounts, to provide more accurate and transparent information to potential clients that’s more […]

    Sep 26, 20235 min read
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  • Behind the Curtain – SEC’s Risk-Based Approach to Examinations

    Behind the Curtain – SEC’s Risk-Based Approach to Examinations

    The SEC Division of Examinations (“EXAMS”) issued a Risk Alert describing EXAMS’ risk-based approach for selecting registered investment advisers to examine and determining the scope of examinations. The Risk Alert included an example of a typical initial request for documents and information, as well as examples of additional information that EXAMS may request during the examination process. The Alert identified three (3) components used to assess an adviser’s risks and scoping examinations.

    Sep 22, 20233 min read
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  • Takeaways from the SEC’s new private fund adviser rules – build and plan for successful implementation

    Takeaways from the SEC’s new private fund adviser rules – build and plan for successful implementation

    The private fund regulatory landscape just got more complex with the August 23 SEC adoption of these long-awaited private fund rules, which were first proposed 18 months ago in the face of industry pushback. These rules align with the agenda by SEC Chairman Gary Gensler, who has been steadfast in his commitment to enacting a […]

    Sep 11, 20236 min read
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  • SEC Marketing Rule: How does it affect composites?

    SEC Marketing Rule: How does it affect composites?

    The SEC Marketing Rule presents many opportunities for firms to streamline performance and composite reporting. However, firms face the challenges of managing many composites, tight deadlines to produce information, and manual or spreadsheet-driven processes across multiple facets and regions of the business. How can firms use composites when advertising related, hypothetical and representative account performance? […]

    Sep 11, 20235 min read
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  • Top compliance concern: An SEC exam on the marketing rule — forewarned is fair play?

    Top compliance concern: An SEC exam on the marketing rule — forewarned is fair play?

    Elevated Fears and Stress abound for registered SEC Adviser firms as they evaluate their firm’s readiness for an inevitable SEC examination for compliance with the new Marketing Rule. The SEC’s Division of Examination (“EXAMS”) staff is currently examining SEC Registered Investment Adviser firms for compliance with the Marketing Rule with breakneck focus. Registered SEC Investment […]

    Aug 03, 20236 min read
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  • Navigating the next market downturn at TSAM London

    Navigating the next market downturn at TSAM London

    Now that the TSAM – the Summit for Asset Management in London – is over, it is time to look back and delve into the subject of market downturns, as discussed during the regulatory roundtable “Navigating the next market downturn,” which was part of the Confluence-sponsored Regulatory & Compliance stream.Given that the two-day conference brought […]

    Jul 24, 20234 min read
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  • Why firms are struggling to meet the looming deadline on the SEC marketing rule and how they can accelerate compliance

    Why firms are struggling to meet the looming deadline on the SEC marketing rule and how they can accelerate compliance

    Jul 13, 2023
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  • As pressures mount, SEC finalizing its rule for companies’ climate-related disclosures

    As pressures mount, SEC finalizing its rule for companies’ climate-related disclosures

    Global scientific consensus and domestic political interests compete for its attention The SEC’s forthcoming Final Rule, requiring climate-related disclosures by US companies, is placed here in the context of recent global climate developments. This provides some perspective on the pressures faced by the SEC, as it finalizes its much talked-about 490-page proposal. We conclude with some important action items for investment firms, who will rely on these disclosures for their sustainability investment analyses and compliance functions.

    Jul 03, 202310 min read
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  • HEADS UP: SEC Division of Examinations

    HEADS UP: SEC Division of Examinations

    identifies gaps and signals need for main office policies and procedures to be applied at branch office locations

    May 11, 20234 min read
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  • SEC revises Form PF rules

    SEC revises Form PF rules

    The SEC adopted changes to Form PF impacting large hedge fund advisers and all PE advisers.

    May 09, 20232 min read
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  • Incident reporting on the SEC’s radar as regulator seeks to mandate a federal breach notification standard

    Incident reporting on the SEC’s radar as regulator seeks to mandate a federal breach notification standard

    A steady increase in the threat that data breaches pose to individual investors has spurred the Securities and Exchange Commission to revisit the issue of safeguarding customer information. On March 15th, 2023, the SEC published proposed changes for Regulation S-P. The proposal is designed to provide registered investment advisers’ clientele with sufficient notice of any data […]

    Apr 20, 20234 min read
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  • Making the RightAdjustments: Managing LiquidityRisk for SEC Rule 22e-4Compliance

    Making the RightAdjustments: Managing LiquidityRisk for SEC Rule 22e-4Compliance

    Introduction One of the many lessons learned from recent financial crises is that under unpredictable circumstances, the liquidity of traded financial instruments can nearly vanish. As we saw in those instances, this lack of liquidity coupled with the highly interconnected nature of modern derivatives, can lead to massive fund redemptions, which naturally increases the pressure […]

    Mar 22, 20239 min read
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  • Making the right adjustments: managing liquidity risk for SEC Rule 22e-4 compliance

    Making the right adjustments: managing liquidity risk for SEC Rule 22e-4 compliance

    Introduction One of the many lessons learned from recent financial crises is that under unpredictable circumstances, the liquidity of traded financial instruments can nearly vanish. As we saw in those instances, this lack of liquidity coupled with the highly interconnected nature of modern derivatives, can lead to massive fund redemptions, which naturally increases the pressure […]

    Mar 16, 20239 min read
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  • Liquidity risk spotlight: Increased regulatory scrutiny is our biggest threat

    Liquidity risk spotlight: Increased regulatory scrutiny is our biggest threat

    Inflation and interest rate spikes, the likes of which we haven’t seen in a generation, can cause serious market dislocations and liquidity crunches. Regulators around the world have taken notice. The increasing pressure of regulatory requirements around liquidity risk demands a more precise and holistic view of fund liquidity. The recently introduced Liquidity Stress Test […]

    Dec 06, 20226 min read
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  • ESG: As COP27 highlights climate urgency, notions of “sustainability” fracture

    ESG: As COP27 highlights climate urgency, notions of “sustainability” fracture

    COP27, the UN’s annual climate change conference held this year in Egypt from 6 to 18 November with about 100 heads of state in attendance, can be seen as a microcosm of the challenges and debates that have plagued the concept of “ESG” or “sustainability” since those terms came into vogue several years ago. The COP27 […]

    Nov 15, 20223 min read
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  • ESG Strategy: Think regulation, data, and budget

    ESG Strategy: Think regulation, data, and budget

    This blog was original published at Markets Media on October 7, 2022. Sustainable investing disclosures in the U.S. are currently governed by general fraud prohibitions in advertising and not by formally defined rules, apart from interpretive guidance issued by the SEC in 2010 about certain material impacts caused by climate change. In the absence of ESG regulations, investment managers […]

    Nov 01, 20224 min read
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  • Navigating the SEC marketing rule: Keyways to compliance

    Navigating the SEC marketing rule: Keyways to compliance

    The SEC’s new Marketing Rule that came into effect last year expanded the definition of advertising. It allows for marketing via new channels and enhances existing disclosure requirements. It will have significant compliance impacts on advertising and cash solicitations for investment advisers registered with the SEC. Replacing both the old advertising and solicitation rules, the […]

    Oct 27, 20225 min read
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  • ESG Update for Investment Firms

    ESG Update for Investment Firms

    The Data Problem and E.U. Response

    Oct 04, 20228 min read
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  • Charting a path to SFDR deadlines: Optimizing ESG and EET data collection, quality and reliability

    Charting a path to SFDR deadlines: Optimizing ESG and EET data collection, quality and reliability

    The Sustainable Finance Disclosure Regulation (SFDR) is rapidly progressing towards the January 1, 2023 deadline, and the industry is in the process of managing and solving a variety of challenges. Here, we provide a brief timeline of the work that remains, discuss the challenges of the European ESG Template (EET) and ESG data, and the best ways […]

    Sep 30, 20228 min read
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  • Charting a path to PRIIPS KID deadlines: Four months left to make significant data, calculation and filing changes

    Charting a path to PRIIPS KID deadlines: Four months left to make significant data, calculation and filing changes

    Conversations with investment firms, management companies, fund administrators and industry attorneys have ramped up this summer as the industry prepares for the European Union’s (EU) new Packaged Retail and Insurance-based Investment Products (PRIIPs) reporting requirements by January 1, 2023. Firms will need to adjust to new formats, content and calculations for preparing their Key Information Documents (KIDs) […]

    Sep 27, 20226 min read
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  • The state of ESG regulatory reporting

    The state of ESG regulatory reporting

    What it means for market participants and investors

    Sep 07, 20223 min read
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  • Are you ready to comply with the new SEC marketing rule?

    Are you ready to comply with the new SEC marketing rule?

    Time is running out With the upcoming deadline of the 4th November, 2022, the new SEC Marketing Rule requires firms to create composites around similarly managed portfolios for performance reference, even if they are not GIPS® (Global Investment Performance Standards) Standards compliant. This means that firms must establish policies, procedures and controls, ensuring that all […]

    Aug 25, 20221 min read
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  • ESG regulations take hold in Europe with other regions set to follow

    ESG regulations take hold in Europe with other regions set to follow

    The EU’s comprehensive sustainable finance action plan aims to mandate that companies integrate sustainability risks into their investment management and disclosure processes, including their impact on the market environment. Its goals are to: Companies are regulated under the Non-Financial Reporting Directive (NFRD) and soon the Corporate Sustainability Reporting Directive (CSRD), while financial products will be […]

    Aug 03, 20222 min read
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  • Five PRIIPs reporting challenges asset managers need to know

    Five PRIIPs reporting challenges asset managers need to know

    Time is running out to comply with the European Union’s (EU) new Packaged Retail and Insurance-based Investment Products (PRIIPs) reporting requirements, and adjust to new formats and content for preparing key investor documents (KIDs) by January 1, 2023. On top of this, the regulation will extend to all Undertakings for Collective Investment in Transferrable Securities (UCITS) products that have an exemption in […]

    Jul 29, 20224 min read
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  • Key considerations when replacing UCITS KIIDs with PRIIPs KIDs

    Key considerations when replacing UCITS KIIDs with PRIIPs KIDs

    With the ever-changing regulations and the strain they place on internal resources, it is increasingly important that firms have a streamlined and holistic approach to their data, calculations, and processes to meet the evolving regulatory requirements. In a few short months, asset management firms, insurance companies, and other financial institutions will need to comply with […]

    Jul 07, 20221 min read
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  • SEC Rule 22e-4: Meeting compliance standards and managing liquidity risk

    SEC Rule 22e-4: Meeting compliance standards and managing liquidity risk

    As we’ve learned from recent financial crises, unpredictable circumstances can cause the liquidity of traded financial instruments to nearly disappear. That lack of liquidity, coupled with the highly interconnected nature of modern derivatives, can lead to massive fund redemptions, naturally increasing the pressure to sell into thin markets, causing a rapidly spiraling cycle of collapsing […]

    Apr 07, 20224 min read
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  • Navigating ESG’s complex regulatory landscape

    Navigating ESG’s complex regulatory landscape

    Amid growing demand from socially conscious investors, asset managers have worked tirelessly over the past decade to create ESG investment vehicles. While the pandemic heightened mainstream interest in ESG, the trend is projected to continue its acceleration as it has become widely recognized as a key value driver. With these developments, regulators the world over have naturally taken notice, […]

    Mar 09, 20225 min read
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