Regulatory Compliance Watch is the leading source of authoritative answers to the toughest compliance questions facing the US financial services industry.
Through our direct line to senior policy makers, leading industry compliance officers and regulators, we deliver up-to-the-minute news, expert analysis, compliance best practices and compliance tools.
Investment advisers, broker/dealers, CPO/CTAs and private fund professionals benefit from early warning of upcoming regulatory change as well as actionable guidance to master complex government rules.