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Enforcement News: What Happens When Form ADV Statements Cannot Be Substantiated
In today’s article, we examine the SEC’s enforcement action against Wisdom Capital Management Group Ltd., an entity that claimed to be an Exempt Reporting Adviser (“ERA”) under the Investment Advisers Act of 1940 (“Advisers Act”). While ERAs are exempt from SEC registration, they remain subject to the SEC’s examination authority and must provide accurate, verifiable disclosures.

Jeffrey Haber
Aug 105 min read


Enforcement News: Financial Elder Abuse, Vulnerability, and the SEC’s Enforcement Response
Financial abuse of seniors and other vulnerable adults is among the most damaging and the least visible forms of investor harm. It arises when age, illness, cognitive decline, or dependence on trusted professionals erodes an individual’s ability to evaluate advice or resist coercion, even while legal capacity nominally remains intact.

Jeffrey Haber
Apr 63 min read
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