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Friday, May 13, 2022
Is Your Organization Prepared for the Future of Compliance?

Is Your Organization Prepared for the Future of Compliance?

Technology is changing at an unprecedented pace, and compliance teams need to be ready for anything – the future compliance landscape will be different from anything we’ve seen before.   Regulations…

Wednesday, April 27, 2022
SEC 2022 Exam Priorities: Be Prepared

SEC 2022 Exam Priorities: Be Prepared

The SEC has published its annual examination priorities for 2022.   For those who have been in the industry for any amount of time, this is an expected annual tradition….

Tuesday, April 12, 2022
Heading Into the Busy Season: What to Keep in Mind

Heading Into the Busy Season: What to Keep in Mind

The busy season is winding up. Beyond the usual routine, there’s a lot to think about and a lot that can create volatility in our business routines – including the…

Monday, January 24, 2022
They Will Never Notice: How One Adviser Defrauded Clients of Over $1 Million

They Will Never Notice: How One Adviser Defrauded Clients of Over $1 Million

The core principle of the Investment Advisors Act of 1940 is Investor protection. Its mission, and that of the SEC, is to shield investors from unscrupulous people who sneak into…

Tuesday, January 18, 2022
Should Your Advisory Fees Be a Market Differentiator?

Should Your Advisory Fees Be a Market Differentiator?

In a world that’s filled with marketing messages, how can a firm set itself apart from others? Every firm would like to say they provide outstanding service and have experienced…

Monday, January 10, 2022
Don’t Text and Trade

Don’t Text and Trade

On December 17, 2021, the SEC and the Commodity Futures Trading Commission fined J.P. Morgan a combined $200 million for failure to properly capture their communications. What Happened? Between January…

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