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SEC Investment Management Guidance

The SEC Investment Management Guidance refers to the rules and recommendations provided by the U.S. Securities and Exchange Commission for investment managers and funds. It aims to promote transparency, protect investors, and ensure that investment practices are ethical and compliant with regulations. This guidance covers areas such as risk disclosure, fee structures, and the responsibilities of fund managers in providing accurate information about their investment strategies and performance. Essentially, it helps ensure that investors can make informed decisions and that their interests are safeguarded in the financial markets.