LeGaye Law Firm - Financial & Regulatory Compliance
Tel: 281.367.2454
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Tag Archives: Economic Conflicts of Interest

Do Your Firm’s Fees, Incentives and Disclosures Tell the Same Story?

August 10, 2026Legal AlertsEconomic Conflicts of Interest, Form ADV Part 2A Conflict Disclosure, Investment Adviser Compliance Rule (Advisers Act Rule 206(4)-7), Investment Adviser Fiduciary Duty (Advisers Act Section 206), Regulation Best Interest (Exchange Act Rule 15l-1)Daniel LeGaye

Key Question Are broker-dealers and investment advisers doing enough to identify, mitigate, disclose, and test the economic incentives that may influence their recommendations and services? Our View Broker-dealers, RIAs, compliance … Continue reading Do Your Firm’s Fees, Incentives and Disclosures Tell the Same Story? →

Legal Alerts

  • Do Your Firm’s Fees, Incentives and Disclosures Tell the Same Story?
  • Are Trading-Error Gains Creating an Undisclosed Conflict for Broker-Dealers and RIAs?

Videos

  • Are Trading-Error Gains Creating an Undisclosed Conflict for Broker-Dealers and RIAs?
  • What Does FINRA’s Independent Enforcement Review Mean for Your Firm?

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2002 Timberloch Drive, Suite 200
The Woodlands, TX 77380

Tel: (281) 367-2454
Fax: (866) 338-6353
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