Clarity and Understanding for the Workplace

Brightline Solutions™

Brightline Solutions™ offers a clear, clean, easily-navigable approach to meet daily compliance needs within the financial services industry.

Investment advisers are constantly on the lookout for new solutions to tackle the multitude of challenges, questions and concerns that Compliance Departments face on a daily basis.

Brightline Solutions™ has taken a fresh approach to meet these daily challenges by putting all the pieces of the puzzle together in an easily-navigable format, presenting all the ideas, references, and backup material in one place. As you navigate between rules, releases, guidance, no-action letters, and enforcement cases, along with risks, testing and disclosure requirements – all in one place – a much clearer picture emerges. These puzzle pieces come together to offer you Brightline Solutions™ relational regulatory database - the IA Act Unwrapped™ – which address your daily, weekly, monthly and annual compliance concerns.

The Brightline Solutions™ Approach

A "bright-line rule" is a clearly defined rule or standard, leaving little room for interpretation in an effort to produce predictable and consistent results.

Brightline Solutions™ uses this same predictable, consistent approach as we create the ideal products for the financial services industry. We clearly align research, archiving, data-mapping, programming and design, alongside an unparalleled standard of excellence, to offer products that you can easily use to enhance the clarity and understanding of your daily tasks. We have created products unlike any ever seen in the industry, and have elevated compliance to a new level of sophistication.

Headline News

SEC Clarifies Investment Advisers' Proxy Voting Responsibilities and Application of Proxy Rules to Voting Advice

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SEC Releases Videos on Choosing and Working with a Financial Professional

Part of new campaign to help investors understand key differences between IAs & BDs
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SEC Charges IA with Failing to Disclose Financial Conflict of Interest
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SEC Charges Recidivist IA for Failing to Disclose Conflicts of Interest

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Updates

Brightline Solutions updates IA Act UnwrappedTM on a daily basis. Recent updates are listed below. Click HERE for a more detailed summary of the information.

IA-5327 In the Matter of Patrick L. O’Connor

IA-5326 In the Matter of Yehuda Belsky, AKA "Jay Bell"

IA-5325 Commission Guidance Regarding Proxy Voting Responsibilities of Investment Advisers
Added to the IA Act UnwrappedTM Releases Database and to Interpretive Releases under Regulatory Database Rule 206(4)-6

34-86721 Commission Interpretation and Guidance Regarding the Applicability of the Proxy Rules to Proxy Voting Advice
Exchange Act Release linked to IA Act UnwrappedTM Regulatory Database Rule 206(4)-6 Proxy Voting Description Tab

SEC Clarifies IA’s Proxy Voting Responsibilities and Application of Proxy Rules to Voting Advice 
Information added to the IA Act UnwrappedTM Regulatory Database Rule 206(4)-2 Plain English Description Tab

IA-5324 In the Matter of Financial Sherpa, Inc. and James L. Beyersdorf

IA-5323 In the Matter of Thomas Gillons

Request for amendment to Form ADV, Part 1A, Item 5, Section E
Public Petition for Rulemaking linked to IA Act UnwrappedTM Regulatory Database Rule 204-1 Plain English Description Tab

IA-5322 In the Matter of Christopher D. Dougherty

LR-24563 SEC v. Craig Rumbaugh, Rumbaugh Financial Inc., and Desert Strategic Equity, LLC

IA-5321 In the Matter of Chris Kubiak

IA-5320 In the Matter of Michael J. Frew

IA-5319 In the Matter of MVP Manager LLC

IA-5318 In the Matter of Jeremy Joseph Drake

IA-5317 Notice of Intention to Cancel Registrations of Certain Investment Advisers

IA-5316 In the Matter of Sean Kelly

IA-5315 In the Matter of JDC-JSC LP

IA-5313 In the Matter of Kendall J. Groom, CPA

IA-5314 In the Matter of The Robare Group, Ltd., Mark L. Robare, and Jack L. Jones, Jr.

LR-24550 SEC v. Commonwealth Equity Services, LLC

IA-5312 In the Matter of Jonathan Brosk

IA-5311 In the Matter of Christopher Plaford
LR-24548 SEC v. Christopher Plaford

IA-5310 In the Matter of Timothy M. Rooney, Sr.

IA-5309 In the Matter of John Sherman Jumper

IA-5308 In the Matter of William Harper Minor, Jr.

IA-5307 In the Matter of N. Gary Price

IA-5306 In the Matter of Foundations Asset Management, LLC, Michael W. Shamburger, and Rob E. Wedel

Observations from Examinations of Investment Advisers - Compliance, Supervision, and Disclosure of Conflicts of Interest
OCIE Risk Alert
Added to the IA Act UnwrappedTM Examination Tools Database/2019 Information

IA-5305 In the Matter of Account Management, LLC, Christopher de Roetth and Peter de Rotth

IA-5304 In the Matter of Henry J. Wieniewitz, III

IA-5303 In the Matter of Swapnil Rege

IA-5296 Release Intentionally Omitted by SEC

LR-24539 SEC v. Paul Alar and West Mountain, LLC

IA-5302 In the Matter of Salus, LP et al.

LR-24533 SEC  v. Richard Vu Nguyen, et al.

Staff Statement on Opportunity Zones: Federal and State Securities Laws Considerations  
SEC and NASAA Explain Application of Securities Laws to Opportunity Zone Investments 
Added to the IA Act UnwrappedTM Examination Tools Database/2019 Information