Akin Gump·SECURITIES / CAPITAL MARKETS

SEC Risk Alert Details Six Common Investment Adviser Compliance Deficiencies

The SEC's Division of Examinations issued a Risk Alert on September 14, 2026 identifying recurring deficiencies in how registered investment advisers conduct their required annual compliance reviews under Rule 206(4)-7.

sec-risk-alertinvestment-adviser-complianceannual-review-deficienciesrule-206-4-7sec-examinations
Read the original firm alert → Friday, September 18, 2026

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