top of page
Search


Navigating Fiduciary Duty and Social Media: Lessons from a Potential Market Manipulation Case
Recent regulatory scrutiny has highlighted how the misuse of social media can blur the lines between personal market opinions and...
Coulter Strategic Services
Feb 276 min read
6 views
0 comments
Financial Fraud: A Comprehensive Guide of practical tools and actions for Investment Firms.
The financial exploitation of seniors and vulnerable adults is an increasing concern in today's society. As the population ages, the...
Coulter Strategic Services
Oct 31, 202411 min read
6 views
0 comments
Financial Fraud: A Comprehensive Guide of practical tools and actions for Investment Firms.
Introduction The financial exploitation of seniors and vulnerable adults is an increasing concern in today's society. As the population...
Coulter Strategic Services
Oct 28, 202411 min read
3 views
0 comments


Proposed SafeGuarding Rule (Custody)
Proposed Rule: Enhanced Safeguarding Rule for Registered Investment Advisers (Proposed Date: February 15, 2023) The proposed Enhanced...
Coulter Strategic Services
Oct 2, 20244 min read
7 views
0 comments


Adapting to New Requirements: A Guide to the Amended Regulation S-P
Advisory firms are subject to various regulations aimed at safeguarding client data, including the Red Flags Rule under the Fair Credit...
Coulter Strategic Services
Sep 20, 20247 min read
10 views
1 comment
PROPOSED REGULATORY RULES THAT WILL POTENTIALLY IMPACT ADVISORY FIRMS
As the regulatory landscape for Registered Investment Advisers (Firms ) continues to evolve, staying ahead of proposed rules is crucial...
Coulter Strategic Services
Aug 20, 20246 min read
29 views
0 comments

Navigating Hypothetical Performance Under the SEC Marketing Rule: Comprehensive Guidance
Introduction Hypothetical performance is a key component of the SEC’s Marketing Rule, which imposes specific criteria that firms must...
Coulter Strategic Services
Aug 13, 20246 min read
57 views
0 comments

Learning from the CrowdStrike and Microsoft Global Outage: A Crucial Lesson for Registered Investment Advisory Firms
The recent global outage caused by a faulty CrowdStrike update, which affected Microsoft Windows systems worldwide, serves as a critical...
Coulter Strategic Services
Aug 5, 20243 min read
26 views
0 comments

Balancing Innovation with Regulatory Compliance
We are pleased to announce the release of an insightful pre-recorded presentation titled "Balancing Innovation with Regulatory...
Coulter Strategic Services
Jun 23, 20243 min read
8 views
0 comments

Artificial Intelligence - Balancing Innovation with Regulatory Compliance
We are pleased to announce the release of an insightful pre-recorded presentation titled "Balancing Innovation with Regulatory...
Coulter Strategic Services
Jun 21, 20243 min read
3 views
0 comments

Compliance Lessons We Can Learn from an ETF Enforcement Case
The recent SEC enforcement action against Van Eck Associates Corporation (VEAC) offers several valuable compliance lessons for registered...
Coulter Strategic Services
Jun 11, 20244 min read
21 views
0 comments

Advisory Agreements/Mergers & Acquistitions
Coulter Strategic Services teams up with BrightStar Law Group for an in-depth session on Advisory Agreements and Mergers and...
Coulter Strategic Services
Jun 3, 20241 min read
8 views
0 comments

Marketing within Compliance - Marketing For Advisors
Join SBMC Consulting and Coulter Strategic Services for an insightful session featuring a compliance professional and a marketing expert...
Coulter Strategic Services
May 28, 20242 min read
8 views
0 comments

Mutual Fund Share Classes: Don't Forget to Review for Proper Share Classes as an Advisor
Introduction Mutual fund share classes have distinct characteristics that directly impact investment returns through varying fees and...
Coulter Strategic Services
May 20, 20246 min read
15 views
0 comments

Understanding and Complying with SEC Rule 206(4)-5: Political Contributions
Given that it is a Presidential Election year, it is crucial for firms to review their policies and ensure a thorough understanding of...
Coulter Strategic Services
May 14, 20246 min read
13 views
0 comments

Annual Review: Requirements and Implementable Guidance
The recent amendments to Rule 206(4)-7 under the Advisers Act mark a significant shift in regulatory requirements for investment advisers...
Coulter Strategic Services
May 6, 20244 min read
14 views
0 comments
Navigating the Challenges of the SEC’s Conflicts of Interest Associated with the Use of Predictive Data Analytics by Broker-Dealers and Investment Advisers Rule Proposal
July 26, 2023, the United States Securities and Exchange Commission (SEC) proposed a rule to address risks to investors from conflicts of...
Coulter Strategic Services
Apr 26, 202414 min read
11 views
0 comments

Enhancing Client Relationship Management: Implementing KYC for Advisory Firms
As regulatory expectations continue to evolve in the financial advisory industry, registered investment adviser firms face increasing...
Coulter Strategic Services
Apr 23, 20243 min read
16 views
0 comments

Strengthening Marketing Compliance: Insights from Recent SEC Enforcement Actions
In light of recent SEC enforcement actions involving registered investment advisers, it's become increasingly clear that robust marketing...
Coulter Strategic Services
Apr 16, 20244 min read
22 views
0 comments

A Guide To Disclosure Delivery for Advisory Firms
Now that the Annual Update Amendment of Form ADV has been filed for the majority of advisory firms, it's time to shift focus to the...
Coulter Strategic Services
Apr 9, 20243 min read
22 views
0 comments
bottom of page