Compliance Chief Wants Out Of SEC Fraud Suit
<https://www.law360.com/legalethics/articles/2322117?nl_pk=87c9365b-e736-431a-87d3-d121d8acafcf&utm_source=newsletter&utm_medium=email&utm_campaign=legalethics&utm_content=2025-04-09&read_main=1&nlsidx=0&nlaidx=5>

By Katryna Perera

The chief compliance officer and general counsel of a wealth management
firm has urged an Illinois federal judge to dismiss him from a U.S.
Securities and Exchange Commission suit over an alleged offering fraud by
former representatives at his firm, saying "the commission does not even
understand what its own pleading burden in this case is."

 3 documents attached | Read full article »
<https://www.law360.com/legalethics/articles/2322117?nl_pk=87c9365b-e736-431a-87d3-d121d8acafcf&utm_source=newsletter&utm_medium=email&utm_campaign=legalethics&utm_content=2025-04-09&read_more=1&nlsidx=0&nlaidx=5>
 | Save to favorites »
<https://www.law360.com/legalethics/articles/2322117?nl_pk=87c9365b-e736-431a-87d3-d121d8acafcf&utm_source=newsletter&utm_medium=email&utm_campaign=legalethics&utm_content=2025-04-09&read_later=1&nlsidx=0&nlaidx=5>

Reply via email to