SEC Issues Cybersecurity Alert For Brokers And Financial Advisers
Privacy and Cybersecurity Law
MAY 18, 2017
On May 17, 2017, the US Securities and Exchange Commission (SEC), through its National Exam Program, issued a “ Risk Alert ” to broker-dealers, investment advisers and investment firms to advise them about the recent “WannaCry” ransomware attack and to encourage increased cybersecurity preparedness.
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