
- UID
- 222286
- 帖子
- 220
- 主题
- 40
- 注册时间
- 2011-7-2
- 最后登录
- 2014-6-29
|
If one key employee of your asset management firm has been ACCUSED of wrongdoing by the regulator, are you supposed to disclose this to clients and prospects? Even though they haven't been found guilty yet!
What do you think? |
|