July 2013 Volume 1, Issue 1
The State Securities Board's Texas Regulatory Review is a new publication that will provide commentary to registered financial services professionals, with an emphasis on investment adviser representatives who do business in Texas. READ MORE
Investment advisers probably know they must comply with certain requirements of the Custody Rule governing client funds or securities. Reviewing the relevant rules and existing guidance, however, can help advisers understand if they may be deemed to have custody and what safeguards they must establish in order to protect clients. READ MORE
Any registered investment adviser or broker-dealer is subject to examination by the State Securities Board. From interviewing key personnel to collecting and analyzing documentation related to an adviser's or broker-dealer's business and clients, know what to expect during an inspection. READ MORE
Natural and man-made disasters, as well as fire, theft, and the unexpected death of a financial firm's leader, can seriously disrupt or even cripple a firm's operations. Business continuity plans may be critical to your clients' interests. READ MORE
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