SEC

SEC Charges Investment Adviser and Fund Officers for Liquidity Rule Violations

The SEC announced charges against Pinnacle Advisors LLC and its officers, two independent trustees, and a third trustee who settled charges for aiding and abetting Liquidity Rule violations by a mutual fund they managed.

SEC Fines HSBC Securities and Scotia Capital for Electronic Communication Failures

The SEC charged HSBC Securities (USA) Inc. and Scotia Capital (USA) Inc. with recordkeeping violations, settling with penalties of $15 million and $7.5 million, respectively, and both firms agreed to retain compliance consultants.

SEC Charges Red Rock Secured and Executives with Fraudulent Scheme Targeting Retirement Accounts

The SEC announced charges against Red Rock Secured LLC, its CEO, and two of its former account executives for allegedly defrauding hundreds of investors of more than $50 million from their retirement savings.

SEC Proposes Rule Changes to Improve Resilience and Recovery Planning of Covered Clearing Agencies

The SEC proposed rule changes to improve the resilience and recovery, as well as wind-down planning of covered clearing agencies, requiring policies and procedures for a risk-based margin system that takes into account intraday exposure and other substantive inputs.

SEC Charges 10 Microcap Companies for Violating Regulation A

The SEC announced charges against 10 microcap companies for offering and selling unregistered securities in violation of Regulation A, and each of the 10 companies will pay a civil penalty for their actions.

SEC Imposes Monetary Penalty and Disgorgement on Former Wells Fargo's Executive Carrie Tolstedt for Misleading Investors.

The SEC settled with former Wells Fargo CEO Carrie Tolstedt for a penalty of $3 million, to be combined with previous penalties paid by the company and former CEO John Stumpf and distributed to harmed investors.

SEC Charges Binance and its Founder with Securities Law Violations

The SEC has charged Binance Holdings Ltd., BAM Trading Services Inc., and their founder Changpeng Zhao with a variety of securities law violations rooted in subverting U.S. investor access, misleading investors, operating unregistered exchanges and broker-dealers, and offering unregistered crypto assets.