Skip to content

menu

Open Legal Blog Archive logo
HomeAboutBlogsFAQsSubmit

SEC Issues Risk Alert to Remind Advisers of Core Compliance Expectations

By Nathan Schuur, Robert Sutton, Caroline Spillane & Maegan Kae Z. Sunaz on December 23, 2025

On December 16, 2025, the Securities and Exchange Commission’s (“SEC“) Division of Examinations issued a Risk Alert highlighting several recurring deficiencies in investment advisers’ compliance with the provisions of Advisers Act Rule 206(4)-1 (the “Marketing Rule”) governing use of testimonials and endorsements as well as third-party ratings. These observations serve as useful reminders of the basic compliance expectations that advisers must continue to uphold. The tone of the Risk Alert is consistent with the SEC’s 2026 Exam Priorities, which emphasize a continued focus on foundational requirements of the Advisers Act.

Read the full client alert here.

  • Posted in:
    Financial
  • Blog:
    The Capital Commitment
  • Organization:
    Proskauer Rose LLP
  • Article: View Original Source

Open Legal Blog Archive, Inc. logo
Seattle, Washington
Copyright © 2026, Open Legal Blog Archive, Inc. All Rights Reserved.
Law blog design & platform by LexBlog LexBlog Logo