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Articles + Publications August 11, 2021
Locke Lord LLP
On July 21, 2021, the Securities and Exchange Commission (the “SEC”), Division of Examinations (the “Division”), issued new guidance regarding “Fixed Income Principal and Cross Trades by Investment Advisers from an Examination Initiative”, which aggregates results of approximately 20 examinations of Advisers held over the course of two years called the “FIX Initiative”. This Risk Alert builds on the SEC’s Office of Compliance and Examinations’ (which is the former name of the Division) prior guidance issued on September 4, 2019, titled “Investment Adviser Principal and Agency Cross Trading Compliance Issues”(the “2019 Risk Alert”).
A “principal trade”, as defined in Section 206(3) of the Investment Advisers Act of 1940, as Amended (the “Advisers Act”), generally involves the purchase or sale of a security between (i) an advisory client and (ii) the Adviser (or any person who controls, is controlled by, or is under common control with the Adviser).
An “agency cross trade”, as defined in Section 206(3) of the Advisers Act and Rule 206(3)-2 thereunder, occurs when an Adviser arranges for a trade to be executed between a client and another party through a broker-dealer who controls, is controlled by, or is under common control with, the Adviser, and a “cross trade” occurs when an Adviser effects a trade between two or more of its advisory clients’ accounts, but does not charge a fee for effecting the transaction (collectively, “cross trades”).
2019 Risk Alert
In the 2019 Risk Alert, the Division identified major themes of compliance failures including failures that resulted in (i) breach of fiduciary duties, (ii) conflicts of interest, and (iii) absence of or deficiencies in compliance procedures. Some examples that were included in the 2019 Risk Alert include:
FIX Initiative
The FIX Initiative focused on Advisers’ compliance with a subset of the issues identified in the 2019 Risk Alert – namely compliance requirements for principal trades and agency cross trades as they related to conflicts of interest, compliance programs, and disclosures.
During the course of the FIX Initiative, the Division observed continued issues with policies and procedures for principal trades and agency cross trades.
Key Take-Aways
As we have in the past, we will continue to monitor these issues and will provide future client updates. This QuickStudy is for guidance only and is not intended to be a substitute for specific legal advice.
Sponsored Events
Venture Atlanta 2025
October 15 – 16, 2025
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225 Dyer Street, Providence, RI
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1177 Avenue of the Americas, Entrance on 45th Street, New York, NY 10036
Leading the energy evolution.
Learn more
From compliance to the courtroom, we have you covered.
Learn more
Helping you focus on what matters – improving human health.
Learn more
Trusted advisors to leading insurers for 100+ years.
Learn more
Unlocking value in the middle market and beyond.
Learn more
Full-service legal advice from coast to coast.
Learn more
Applying radical applications of common sense
Explore More
Our standard-setting client experience program.
Explore more
Delivering life-changing help to those most in need.
Explore More
Our firm’s greatest asset is our people.
Explore More
Market-leading eDiscovery and data management services.
Explore more
The Pepper Center for Public Services
Explore more
Strategies helps businesses and individuals solve the complexities of dealing with the government at every level. Our team of specialists concentrate exclusively on government affairs, representing clients nationwide who need assistance with public policy, advocacy, and government relations strategies.
This unique program provides innovative and affordable opportunities to startups and early-stage emerging companies with a solid technology or scientific foundation. We help companies that have a quality management team in place and do not have other significant legal representation.
eMerge’s lawyers and technologists work together to deliver strategic end-to-end eDiscovery and data management solutions for litigation, investigations, due diligence, and compliance matters. We help clients discover the information necessary to resolve disputes, respond to investigations, conduct due diligence, and comply with legal requirements.
Stay ahead of the curve and in touch with our latest thinking on the issues that are top of mind across our practices and industry sectors.
Change happens fast in today’s turbulent world. Stay on top of the latest with our industry-specific channels.
Take a closer look at how we partner with clients to help them realize their goals.