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Tom Sporkin


Tom Sporkin
Managing Director, Enforcement
Tom Sporkin serves as Managing Director, Enforcement at CFP Board, the professional body for personal financial planners in the U.S. He leads a team of attorneys and legal staff in the detection, investigation and prosecution activities. Tom possesses decades of experience in enforcement and regulatory compliance, including 20 years in the SEC’s Division of Enforcement  where he served in various  leadership roles including co-managing the Office of Internet Enforcement, and, in the aftermath of the financial crisis, establishing and managing the Office of Market Intelligence, which included the Office of Market Surveillance and the SEC’s Whistleblower program. ....

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Other Voices: The SEC gets tough on ESG funds


Other Voices: The SEC gets tough on ESG funds
Thursday, April 22, 2021
By:Kaela Colwell, Kelley Howes
On April 9, 2021, the SEC s Division of Examinations (EXAMS) published a Risk Alert summarizing its observations from recent examinations of investment advisers, registered investment companies, and private funds engaged in ESG investing. The Risk Alert is the latest in a series of announcements from the regulator that demonstrate its focus on investor protection in connection with climate and ESG investing.
On March 4, 2021, the SEC announced the launch of the Climate and ESG Task Force within the Division of Enforcement. The task force is led by Kelly L. Gibson, Acting Deputy Director of Enforcement, and is comprised of 22 members from the Enforcement Division s specialized units, the SEC s headquarters, and its regional offices. ....

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SEC Risk Alert Provides Insight Into Examinations Related To ESG Investing - Corporate/Commercial Law


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On April 9, 2021, the SEC s Division of Examinations
(“EXAMS”) published a Risk
Alert summarizing its observations from recent
examinations of investment advisers, registered investment
companies, and private funds engaged in ESG
investing.
1 The Risk Alert is the latest in a
series of announcements from the regulator that demonstrate its
focus on investor protection in connection with climate and ESG
investing.
On March 4, 2021, the SEC announced the launch of the Climate
and ESG Task Force within the Division of Enforcement. The task
force is led by Kelly L. Gibson, Acting Deputy Director of ....

Kellyl Gibson , Hester Peirce , Division Of Corporation , Division Of Examinations , Division Of Enforcement , Investment Company , Office Of Market Intelligence , Office Of The Whistleblower , Division Of Investment , Risk Alert , Acting Deputy Director , Corporation Finance , Market Intelligence , Commissioner Hester Peirce , Securities Act , Exchange Act , Investment Advisers Act , Investment Company Act , United Nations Principles , ஹெஸ்டர் பியர்ஸ் , பிரிவு ஆஃப் நிறுவனம் , பிரிவு ஆஃப் தேர்வுகள் , பிரிவு ஆஃப் அமலாக்கம் , முதலீடு நிறுவனம் , அலுவலகம் ஆஃப் சந்தை உளவுத்துறை , அலுவலகம் ஆஃப் தி விசில்ப்ளோவர் ,