Recent changes
Thursday, March 12, 2026
SEC Municipal Advisors Risk Alert and Examination Guidance
The SEC's Division of Examinations has published a Risk Alert to assist municipal advisors in understanding the examination process. The alert details potential areas of focus, selection criteria for examinations, and initial document requests.
SEC and CFTC Announce Inter-Agency Coordination MOU
The SEC and CFTC have signed a Memorandum of Understanding to enhance coordination and collaboration between the agencies. This agreement aims to support lawful innovation, uphold market integrity, and protect investors and customers by harmonizing regulatory definitions and coordinating oversight.
Wednesday, March 11, 2026
SEC Administrative Proceeding Against Rimar Capital for Fraud
The SEC has issued a notice of a proposed plan of distribution for funds collected in an administrative proceeding against Rimar Capital USA, Inc., Rimar Capital, LLC, Itai Royi Liptz, and Clifford Todd Boro. The proceeding found fraudulent conduct related to SAFE offerings and misrepresentations about an AI trading platform, resulting in penalties and disgorgement orders.
Tuesday, March 10, 2026
SEC Obtains Partial Consent Judgments Against Legacy Cares Defendants
The SEC announced partial consent judgments against defendants in a municipal bond offering fraud case. The judgments enjoin the defendants from future securities law violations. This action stems from an alleged scheme involving fabricated documents to inflate revenue projections for a sports complex, leading to bond defaults.
Sunday, March 8, 2026
SEC Investor Advisory Committee Meeting on Disclosure Reform and Tokenization
The SEC's Investor Advisory Committee will hold a public meeting on March 12, 2026, to discuss public company disclosure reform, fund proxy voting, and a potential recommendation on the tokenization of equity securities. The meeting will be webcast and include panel discussions on these topics.
SEC Hosts Roundtable on Options Market Structure Reform
The SEC announced it will host a roundtable on April 16, 2026, to discuss listed options market structure. The event aims to foster dialogue on competition, customer experience, and growth opportunities in the options market. Public comments are being accepted.
Saturday, March 7, 2026
SEC Obtains Final Judgment Against Investment Adviser in Cherry-Picking Scheme
The SEC announced it has obtained a final judgment against Matthew J. Werthe, dba HSR Wealth Management, for engaging in a cherry-picking scheme. The judgment orders Werthe to pay disgorgement, prejudgment interest, and a civil penalty totaling over $1.1 million.
SEC v. Zachary Miller - Administrative and Cease-and-Desist Proceedings
The SEC has instituted administrative and cease-and-desist proceedings against Zachary Miller for acting as an unregistered broker in connection with fraudulent and unregistered securities offerings. Miller allegedly raised approximately $18.3 million from investors.
SEC Institutes Cease-and-Desist Proceedings Against NYSE
The SEC has instituted cease-and-desist proceedings against the New York Stock Exchange (NYSE) LLC. This action stems from a critical systems disruption on January 24, 2023, which caused NYSE to fail to run opening auctions for 2,824 securities, leading to market-wide impacts including thousands of busted trades.
SEC Institutes Proceedings Against Canaccord Genuity LLC for Failing to File SARs
The SEC has instituted administrative and cease-and-desist proceedings against Canaccord Genuity LLC for failing to file approximately 150 Suspicious Activity Reports (SARs) related to its equity trading activities between February 2019 and March 2022. The firm allegedly failed to maintain an adequate AML surveillance program.
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