SEC Fines BlackRock $12M Over Failure To Disclose Conflicts
By Ed Beeson ( April 20, 2015, 3:13 PM EDT) -- The U.S. Securities and Exchange Commission on Monday fined BlackRock Advisors LLC $12 million and sanctioned its former chief compliance officer over an alleged breach of fiduciary duty that occurred when the world's largest asset management company didn't disclose a conflict of interest involving a top portfolio manager....
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