The Investment Advisor’s Compliance Guide, 2nd Edition

Business & Finance, Industries & Professions, Insurance, Finance & Investing, Investments & Securities
Cover of the book The Investment Advisor’s Compliance Guide, 2nd Edition by Les Abromovitz, The National Underwriter Company
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Author: Les Abromovitz ISBN: 9781941627945
Publisher: The National Underwriter Company Publication: February 17, 2017
Imprint: The National Underwriter Company Language: English
Author: Les Abromovitz
ISBN: 9781941627945
Publisher: The National Underwriter Company
Publication: February 17, 2017
Imprint: The National Underwriter Company
Language: English

Given the current activities of SEC and state securities regulators, as well as the changing business and communication landscapes, investment advisors today must keep current with developments affecting compliance at all levels and in all jurisdictions. The Investment Advisor’s Compliance Guide, 2nd Edition delivers a concise yet comprehensive explanation of the rules and how they affect the work you do on a daily basis—no matter where you’re registered. The completely enhanced and updated Investment Advisor’s Compliance Guide, 2nd Edition, provides highly practical guidance covering all of today’s compliance issues, including: •The DOL’s new fiduciary rule •RIA advertising, including the use of client testimonials, credentials, and performance results •The use of today’s top social media platforms •Client communications, including disclosures •Recent ethical decisions Designed to go far beyond basic compliance rules, The Investment Advisor’s Compliance Guide, 2nd Edition, will also help advisors avoid compliance issues, deal with client complaints, and grow their business with the confidence that their actions are well suited to withstand the strictest scrutiny from clients and regulators alike. The expert author, Les Abromovitz, J.D., has extensive experience handling compliance consulting assignments for Registered Investment Advisers (RIAs). In The Investment Advisor’s Compliance Guide, 2nd Edition, he has created a completely up-to-date, reader-friendly, go-to-resource for investment advisors, vital for veterans but also a powerful training tool for those new to the field. .

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Given the current activities of SEC and state securities regulators, as well as the changing business and communication landscapes, investment advisors today must keep current with developments affecting compliance at all levels and in all jurisdictions. The Investment Advisor’s Compliance Guide, 2nd Edition delivers a concise yet comprehensive explanation of the rules and how they affect the work you do on a daily basis—no matter where you’re registered. The completely enhanced and updated Investment Advisor’s Compliance Guide, 2nd Edition, provides highly practical guidance covering all of today’s compliance issues, including: •The DOL’s new fiduciary rule •RIA advertising, including the use of client testimonials, credentials, and performance results •The use of today’s top social media platforms •Client communications, including disclosures •Recent ethical decisions Designed to go far beyond basic compliance rules, The Investment Advisor’s Compliance Guide, 2nd Edition, will also help advisors avoid compliance issues, deal with client complaints, and grow their business with the confidence that their actions are well suited to withstand the strictest scrutiny from clients and regulators alike. The expert author, Les Abromovitz, J.D., has extensive experience handling compliance consulting assignments for Registered Investment Advisers (RIAs). In The Investment Advisor’s Compliance Guide, 2nd Edition, he has created a completely up-to-date, reader-friendly, go-to-resource for investment advisors, vital for veterans but also a powerful training tool for those new to the field. .

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