SEC Charges 12 Additional Financial Firms for Failure to Meet Form CRS Obligations

The Securities and Exchange Commission today announced that six investment advisers and six broker-dealers have agreed to settle charges that they failed to file and deliver client or customer relationship summaries – known as Form CRS – to their retail…

Read the Full Press Release

Have a securities law question? Call New York Securities Lawyers at 212-509-6544.

Visit The Securities Law Home Page – news and tips from securities regulators and top securities attorneys