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SEC Prosecutions

SEC Prosecutions

Supervisory Bar Entered Against Former Chief Compliance Officer of Comprehensive Capital Management

In the Matter of Ronald S. Rollins, Respondent

  • 2013

Respondent was the Chief Compliance Officer at Comprehensive Capital Management, Inc. during the time it employed Timothy J. Roth, who stole more than $16 million from clients over roughly an 8-year span. He was also Roth’s direct supervisor. The SEC found respondent culpable in the failure to reasonably supervise Mr. Roth.

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