Contributor Page
Carne Global Financial Services Limited
 
Email  |  Articles
Contact Details
Tel: +44 207 9369139
Fax: +44 207 9369139
107 - 111 Fleet Street
London
EC4A 2AB
UK
By John Ackerley
This is the fifth issue in the Carne Hedge Fund Governance Series and examines some of the critical operational functions that should be overseen by fund directors.
By Aymeric Lechartier
The call for changes in the way that alternative fund boards are constituted is becoming increasingly evident in the opinions being expressed by investors.
By Joseph Hardiman
The Alternative Investment Fund Managers Directive ("AIFMD") entered into force in the European Union in 2011, with member states required to implement it by July 2013.
By John Donohoe, Roisin Cater
The Cayman Islands Monetary Authority has issued its proposed Statement of Guidance for Regulated Mutual Funds.
By John Donohoe
The topic of fund governance has been rising steadily up the agenda on both sides of the Atlantic in the past few years.
By Christopher Day
开曼群岛具有得天独厚的优惠税收制度,全球绝大部分离岸对冲基金在此注册上市投机经营。
By Christopher Day
In recent years the hedge fund industry has seen a continuous shift from high net worth individual investors to institutional investors, and these types of investors are set to increase their allocations to this sector of the investment management industry.
By John Donohoe
The UK's Financial Services Authority has issued a circular following a review of asset management firms' enforcement of internal conflicts of interest policies.
By Teddy Otto
The Central Bank of Ireland (CBI) issued a letter on 12th October 2012 to all regulated companies discussing the findings of the inspections they had conducted to review industry compliance with the Criminal Justice (Money Laundering & Terrorist Financing) Act 2010 ("CJA 2010").
By Justin Egan
On 24th October 2012 the Commission de Surveillance du Secteur Financier ("CSSF"), released a new Circular – 12/546 – which covers the authorisation and organisation of Luxembourg Management Companies ("ManCos"), subject to Chapter 15 of the Law of 17 December 2010 on undertakings for collective investment schemes and investment management companies that have yet to designate a Management Company (i.e. self-managed investment companies or Sociétés d’Investissements Autogérées, also known as "SIA
By Peter Heaps
This fourth issue in the Carne Hedge Fund Governance Series examines conflicts of interest that exist within the hedge fund environment.
By Christopher Day
As the Asian fund management industry matures, we are seeing larger hedge fund firms emerging in the region that are seeking institutional mandates.
By Christopher Day
Following the downgrade by Moody’s of a number of major global banks, managers should urgently be addressing their funds’ counterparty risk.
By Peter Heaps
This third issue in the Hedge Funds Governance Series elaborates on board meetings for hedge funds.
By Peter Heaps
This second issue in the series of Hedge Fund Governance Briefings focuses on the role of hedge fund directors.