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At ACA Group, our unique financial industry insights are informed by our real-world experience, deep subject matter expertise, and extensive client network.

GRC news and hot topics

Regulatory compliance insights and alerts

Cybersecurity alerts and insights

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ESG alerts and insights

GIPS® standards and performance alerts and insights

RegTech insights and alerts

Insights and alerts related to the SEC's new Marketing Rule

Guidance and insights on regulatory proposals, enforcements, and risk alerts

Regulatory change is here for Private Fund Advisers

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The Trend Towards Model Delivery: Ways to Mitigate Risk

The demand and appetite for model portfolios is rapidly increasing among investment advisors. A recent report released from Broadridge revealed that assets in model portfolios now stand at $2.7 trillion and are expected to double by 2023.

Article
  • Performance
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Regulators Remind Financial Services Firms of the Importance of Technology in Detecting Financial Crime

In recent weeks regulators across the globe have issued communications regarding their ongoing commitment to detecting and punishing insider trading, market abuse, and other misconduct by investment management firms. The common thread? Technology.

Compliance Alert
  • RegTech
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Navigating the SEC’s Interpretation Regarding an Investment Adviser’s Standard of Conduct

ACA Compliance Group's Greg Mekanik recently shared his insights with the Hedge Fund Law Report in a three-part series on the&nbs

Article
  • Compliance
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SEC extends no-action letter relief on MiFID II Research Payments until July 2023

The SEC has extended its no-action letter relief on MiFID II Research Payments until July 2023. We examine the longer-term implications of the Extension Letter and outline interesting points raised by the regulator.

Compliance Alert
  • Compliance
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SM&CR: The final countdown

In less than one month, the Senior Managers & Certification Regime (SM&CR comes into force. Many Solo-regulated firms may need to accelerate the pace at which they are preparing for regime. Download our five-point checklist to benchmark your readiness ahead of the 9 December 2019 deadline.

Article
  • Compliance
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SEC Proposes Expansive Changes to Marketing and Advertising Rules

In an effort to ensure that the regulations applying to investment advisers remain relevant in the digital age, the staff of the SEC announced significant changes to the rules and guidance surrounding the marketing and advertising activities of registered investment advisers and the engagement of solicitors. Read our compliance alert to learn more.

Compliance Alert
  • Compliance
  • SEC Marketing Rule
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Hong Kong SFC Issues New Guidelines on Electronic Data Storage

Learn more about the new guidelines on Electronic Data Storage issued by the Hong Kong SFC.

Compliance Alert
  • Cybersecurity
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ACA Compliance Group Enters into Strategic Partnership with AMG

ACA has entered into a strategic partnership with Affiliated Managers Group, Inc. (NYSE: AMG), a global asset management company with equity investments in leading boutique investment management firms. Through the partnership, ACA will make available to AMG and its Affiliates ACA’s top-tier advisory consulting services and technology solutions across a variety of focus areas including regulatory compliance, performance, cybersecurity, and anti-money laundering.

Press Release
  • Compliance
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SEC Division of Enforcement Publishes 2019 Annual Report

Read our summary of notable findings from the SEC Enforcement Division's Annual Report covering FY 2019.

Compliance Alert
  • Compliance
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The 2020 U.S. Election is Here: How is Your Firm Monitoring Political Contributions and Government Relationships?

A heightened political climate increases political contributions and political activities that can violate pay-to-play rules and generate fines or even prohibit future business. Now is the time to review your firm's policies and procedures for monitoring employees' political contributions and government relationships.

Article
  • Compliance