LeGaye Law Firm - Financial & Regulatory Compliance
Tel: 281.367.2454
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Tag Archives: Investment Adviser Fiduciary Duty – Investment Advisers Act Section 206

Brokerage or Advisory? How Can Dual Registrants Defend the Account-Type Decision?

September 21, 2026Legal AlertsBrokerage and Advisory Account Recommendations, Dual Registrant Account-Type Supervision, FINRA 2026 Annual Regulatory Oversight Report - Reg BI and Form CRS, Investment Adviser Fiduciary Duty - Investment Advisers Act Section 206, Regulation Best Interest (Exchange Act Rule 15l-1)Daniel LeGaye

Key Question How does a dual registrant demonstrate that recommending, or continuing to recommend, a brokerage account rather than an advisory account, or vice versa, was appropriate for the particular … Continue reading Brokerage or Advisory? How Can Dual Registrants Defend the Account-Type Decision? →

Legal Alerts

  • Brokerage or Advisory? How Can Dual Registrants Defend the Account-Type Decision? September 21, 2026
  • SEC Approves FINRA Rule 5123 Changes: Is Your Private Placement Really Exempt From Filing? September 8, 2026

Videos

  • SEC Approves FINRA Rule 5123 Changes: Is Your Private Placement Really Exempt From Filing?
  • FinCEN Ends Domestic BOI Reporting: What Does That Mean for Broker-Dealers and RIAs?

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2002 Timberloch Drive, Suite 200
The Woodlands, TX 77380

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