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Compliance and Regulatory Alerts  |  10-21-24

SEC Announces 2025 Examination Priorities: Enhanced Focus on Market Evolution and Investor Protection

SEC Announces 2025 Examination Priorities: Enhanced Focus on Market Evolution and Investor Protection

The Securities and Exchange Commission's Division of Examinations has released its examination priorities for fiscal year 2025, outlining a comprehensive approach to oversight that emphasizes both traditional and emerging market risks.

The priorities reflect the Division's commitment to protecting investors and maintaining market integrity through risk-based examinations of SEC-registered entities, including investment advisers, investment companies, broker-dealers, clearing agencies, and self-regulatory organizations.

Key Focus Areas for 2025

  • Fiduciary duty compliance
  • Standards of conduct implementation
  • Cybersecurity preparedness
  • Artificial intelligence oversight
  • Compliance with the new IA AML Rule
  • Controls for investor information protection

SEC Chair Gary Gensler emphasized that these priorities are designed to enhance market trust while facilitating capital formation. The Division’s risk-based approach will focus on practices, products, and services that present heightened risks to investors or market integrity.

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