Page 285 - 《期货和衍生品行业监管动态》(2022年合集)
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期货和衍生品行业监管动态




                   这笔款项将用于在相关仲裁程序中向投资者进行支付。瑞银还同意支付 1,740 万


                   美元的民事罚款,并将根据《2002 年萨班斯-奥克斯利法案》(Sarbanes-Oxley Act


                   of 2002)中投资者保护基金的规定向受害投资者进行分配。


                   UBS to Pay $25 Million to Settle SEC Fraud Charges Involving Complex

                   Options Trading Strategy (2022/6/29)


                        The Securities and Exchange Commission today announced that UBS Financial

                   Services Inc. has agreed to pay approximately $25 million to settle fraud charges

                   relating to a complex investment strategy referred to as YES, or Yield Enhancement

                   Strategy.


                        According to the SEC’s order, UBS marketed and sold YES to approximately

                   600 investors through its platform of domestic financial advisors from February 2016

                   through February 2017. The order finds that, during this time, UBS did not provide its
                   financial advisors with adequate training and oversight in the strategy, and although

                   UBS recognized and documented the possibility of significant risk in YES

                   investments, it failed to share this data with advisors or clients. As a result, the order

                   finds, some of UBS’s advisors did not understand the risks and were unable to form a

                   reasonable belief that the advice they provided was in the best interest of their clients.

                   When investors suffered losses, many of them, along with their financial advisors,

                   expressed surprise and closed their YES accounts.


                        “Advisory firms are obligated to implement appropriate policies and procedures

                   to ensure all parties involved in the sale of complex financial products and strategies

                   have a clear understanding of the risks those products present,” said Osman Nawaz,

                   Chief of the Division of Enforcement’s Complex Financial Instruments Unit. “As

                   fiduciaries, advisers also must make suitable recommendations to their clients.
                   Complex products can present unique risks, and the SEC will remain vigilant and


                   continue to take action to protect those who invest in these products from
                   misconduct.”




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