Securities and Exchange Commission 2010 – Federal Register Recent Federal Regulation Documents

Results 1,951 - 2,000 of 2,032
Sunshine Act Meeting; Notice
Document Number: 2010-649
Type: Notice
Date: 2010-01-14
Agency: Securities and Exchange Commission, Agencies and Commissions
Proposed Collection; Comment Request
Document Number: 2010-546
Type: Notice
Date: 2010-01-14
Agency: Securities and Exchange Commission, Agencies and Commissions
Sunshine Act Meeting
Document Number: 2010-592
Type: Notice
Date: 2010-01-13
Agency: Securities and Exchange Commission, Agencies and Commissions
Submission for OMB Review; Comment Request
Document Number: 2010-304
Type: Notice
Date: 2010-01-12
Agency: Securities and Exchange Commission, Agencies and Commissions
Submission for OMB Review; Comment Request
Document Number: 2010-303
Type: Notice
Date: 2010-01-12
Agency: Securities and Exchange Commission, Agencies and Commissions
Submission for OMB Review; Comment Request
Document Number: 2010-302
Type: Notice
Date: 2010-01-12
Agency: Securities and Exchange Commission, Agencies and Commissions
Sunshine Act Meeting Notice
Document Number: 2010-391
Type: Notice
Date: 2010-01-11
Agency: Securities and Exchange Commission, Agencies and Commissions
BlackRock, Inc.; Notice of Application
Document Number: 2010-196
Type: Notice
Date: 2010-01-11
Agency: Securities and Exchange Commission, Agencies and Commissions
Commission Guidance Regarding Independent Public Accountant Engagements Performed Pursuant to Rule 206(4)-2 Under the Investment Advisers Act of 1940
Document Number: 2010-19
Type: Rule
Date: 2010-01-11
Agency: Securities and Exchange Commission, Agencies and Commissions
The Securities and Exchange Commission (the ``Commission'') is publishing interpretive guidance for independent public accountants in connection with the adoption of amendments to Rule 206(4)-2 under the Investment Advisers Act of 1940 (the ``Custody Rule''). This guidance provides direction with respect to the independent verification and internal control report as required under the amended Custody Rule.
Custody of Funds or Securities of Clients by Investment Advisers
Document Number: 2010-18
Type: Rule
Date: 2010-01-11
Agency: Securities and Exchange Commission, Agencies and Commissions
The Securities and Exchange Commission is adopting amendments to the custody and recordkeeping rules under the Investment Advisers Act of 1940 and related forms. The amendments are designed to provide additional safeguards under the Advisers Act when a registered adviser has custody of client funds or securities by requiring such an adviser, among other things: To undergo an annual surprise examination by an independent public accountant to verify client assets; to have the qualified custodian maintaining client funds and securities send account statements directly to the advisory clients; and unless client assets are maintained by an independent custodian (i.e., a custodian that is not the adviser itself or a related person), to obtain, or receive from a related person, a report of the internal controls relating to the custody of those assets from an independent public accountant that is registered with and subject to regular inspection by the Public Company Accounting Oversight Board. Finally, the amended custody rule and forms will provide the Commission and the public with better information about the custodial practices of registered investment advisers.
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