Brian HBrian Hackleman, Compliance Officer Attended a seminar sponsored by the U.S. Securities and Exchange Commission in Chicago, IL. This year’s seminar focused on the compliance deficiencies most frequently identified in examinations conducted during the past year. There was also a special session designed to address the compliance concerns of newly-registered investment advisers.

BCWM has a good understanding of the deficiencies that are common in the Registered Investment Advisory industry. We continue to monitor the rules and regulations set forth by the SEC and maintain compliance within their parameters.

This information is provided for general information purposes only and should not be construed as investment, tax, or legal advice. Past performance of any market results is no assurance of future performance. The information contained herein has been obtained from sources deemed reliable but is not guaranteed.