Tag Archives: Investment Advisers Act Custody Rule Amendments

Are Broker-Dealers and RIAs Prepared for the SEC’s 2026 Compliance Rewrite Cycle?

Key Question Will the Securities and Exchange Commission’s (“SEC”) 2026 rulemaking agenda force broker-dealers, RIAs, and dual registrants into a widespread rewrite of supervisory procedures and compliance frameworks? Our View … Continue reading Are Broker-Dealers and RIAs Prepared for the SEC’s 2026 Compliance Rewrite Cycle?