Drew Bowden, who heads up the SEC office, says the guidance will highlight existing practices in the financial industry that advisors can compare to their own programs.
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The Securities and Exchange Commission Office of Compliance Inspections and Examinations expects to rollout cybersecurity guidance for financial advisors this year. So reports Financial Advisor.
Drew Bowden, who heads up the SEC office, says the guidance will highlight existing practices in the financial industry that advisors can compare to their own programs.