Searching in Financial Compliance · Search everything

878 changes

Favicon for www.dfs.ny.gov

DFS Alert: Phishing Scam Targeting Regulated Entities

The New York Department of Financial Services (DFS) issued an alert regarding a phishing scam targeting regulated entities. The notice advises entities to exercise caution with unexpected communications and verify legitimacy before taking action.

Priority review Notice Cybersecurity
Favicon for www.dfs.ny.gov

Cybersecurity Advisory on Targeted Vishing Attacks

The New York State Department of Financial Services (DFS) issued a cybersecurity advisory highlighting an increase in targeted vishing attacks. Regulated entities are urged to review their cybersecurity programs and implement enhanced measures to protect against credential theft and unauthorized access.

Priority review Guidance Cybersecurity
Favicon for dfpi.ca.gov

California DFPI Enforcement Actions - September 2025

The California Department of Financial Protection and Innovation (DFPI) issued 14 enforcement actions in September 2025. These actions targeted individuals and firms for violations including unlawful broker-dealer activity, investment adviser misconduct, and illegal digital financial asset activities.

Priority review Enforcement Securities
Favicon for dfpi.ca.gov

DFPI Enforcement Actions and Orders - December 2025

The California Department of Financial Protection and Innovation (DFPI) issued a summary of enforcement actions and orders for December 2025. These actions include desist and refrain orders, accusations, and license revocations against individuals and entities for violations of securities, debt collection, escrow, and financing laws.

Priority review Enforcement Financial Services
Favicon for dfpi.ca.gov

DFPI Enforcement Actions - November 2025

The California Department of Financial Protection and Innovation (DFPI) issued several enforcement actions in November 2025, including consent orders, settlement agreements, and license revocations. These actions address violations of California's Financial Code and Corporations Code related to lending, financing, and securities activities.

Priority review Enforcement Financial Services
Favicon for dfpi.ca.gov

California DFPI Enforcement Actions Summary - October 2025

The California Department of Financial Protection and Innovation (DFPI) issued 7 enforcement actions against 7 entities and 4 actions against individuals in October 2025. These actions address violations of various financial laws, including the California Consumer Financial Protection Law, California Commodity Law, and California Financing Law.

Priority review Enforcement Financial Services
Favicon for dfpi.ca.gov

California DFPI Enforcement Actions - August 2025

The California Department of Financial Protection and Innovation issued enforcement actions against 14 entities in August 2025 for violations including unlawful debt collection, investment adviser activity, and franchise investment law. Actions range from settlement agreements to desist and refrain orders.

Priority review Enforcement Financial Services
Favicon for www.sec.gov

SEC v. Gessin, Equifunds, Ice Fleet - Securities Fraud Enforcement

The SEC announced final judgments by default against Equifunds, Inc., John David Gessin, and Ice Fleet LLC for a fraudulent scheme that raised over $1.6 million from retail investors. The judgments include disgorgement, prejudgment interest, and a civil penalty against Gessin.

Urgent Enforcement Securities
Favicon for www.sec.gov

SEC Obtains Final Judgment Against Nicholas Bowerman in Accounting Fraud Case

The SEC announced it has obtained a final judgment against Nicholas Bowerman, a former finance director at CIRCOR International, for alleged accounting fraud. The judgment includes permanent injunctions, a prohibition from serving in financial roles at public companies, and orders Bowerman to pay disgorgement, interest, and a $75,000 civil penalty.

Priority review Enforcement Securities
1mo ago FINRA Guidance
Favicon for www.finra.org

FINRA Guidance Documents, Interpretive Letters, FAQs, and Best Practices

FINRA has published a collection of its guidance documents, interpretive letters, FAQs, and best practices related to specific topics. This resource aims to provide clarity and support for regulated entities in understanding and adhering to FINRA rules.

Routine Guidance Securities

Showing 811–820 of 878 changes

1 80 81 82 83 84 88

Get alerts for ""

We'll email you when new changes match this search.

Free. Unsubscribe anytime.