On December 16, 2025, the SEC’s Division of Examinations issued a Risk Alert shedding light on recurring deficiencies in investment advisers’ adherence to the Marketing Rule under the Investment Advisers Act of 1940. The alert focuses on observations made by exam staff regarding testimonials, endorsements, and third-party ratings, offering valuable insights for investment advisers and broker-dealers alike.
Testimonials and Endorsements: Key Areas of Concern
The Risk Alert identifies several common compliance pitfalls related to testimonials and endorsements:
Third-Party Ratings: Compliance Gaps
The Risk Alert also emphasizes deficiencies related to the utilization of third-party ratings:
Implications and Recommendations
Investment advisers should proactively review their marketing materials and compliance procedures to ensure alignment with the Marketing Rule’s requirements concerning testimonials, endorsements, and third-party ratings. Particular attention should be paid to ensuring clear and prominent disclosures, proper disclosure of conflicts and compensation terms, and the implementation of robust written agreements and due diligence processes.
Broker-dealers should also take note of these standards, as advisers’ marketing practices can influence distribution and sales strategies and may involve broker-dealer communication channels. By understanding and addressing these potential shortcomings, firms can mitigate risk and enhance compliance with the Marketing Rule.
If you require any assistance in ensuring your firm is compliant with the amendments or need assistance with implementation, contact LawVisory.
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Jeffrey Smith, JD. is the Managing Attorney at LawVisory, specializing in SEC compliance, privacy regulation, and regulatory risk management for RIAs, broker-dealers, and fintech innovators. With over a decade of experience advising regulated entities, Jeff helps firms operationalize compliance through actionable frameworks and evidence-based readiness programs.
February 27, 2026
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