Day: June 15, 2022

SEC to change compliance definitions for SOX 404

Chief Compliance Officer Charged with Securities Law Violations

Registered investment adviser A.G. Morgan Financial Advisors (AGM), its owner, and its former chief compliance officer each face charges by the Securities and Exchange Commission for violations of federal securities laws, the agency announced this week. According to the SEC’s complaint, AGM, owner Vincent Camarda, and AGM’s former Chief Compliance Read More