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Searching Content indexed under Fund Management/ REITs by Ropes & Gray LLP's Executive Compensation & Employee Benefits Practice ordered by Published Date Descending.
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DOL Issues "Conflict Of Interest" Rule On Investment Advice: Fiduciary Net Will Widen On April 10, 2017
A comprehensive new rule issued by the DOL on April 6 will make a much wider group of advisers subject to fiduciary standards under the Employee Retirement Income Security Act beginning on April 10, 2017.
United States
14 Apr 2016
2
Commenters React To DOL's Proposed Expansion Of Fiduciary-Duty Rules
The Department's proposal would significantly expand the scope of fiduciary activity by redefining what constitutes "investment advice" under ERISA.
United States
18 Aug 2015
3
Treasury Department And IRS Release Proposed Regulations On Management Fee Waivers
On July 22, 2015, the Treasury Department and the IRS released proposed regulations regarding fee-waiver arrangements commonly used by private investment funds.
United States
27 Jul 2015
4
First Circuit Holds that Private Equity Fund May be Liable for Portfolio Company’s Multiemployer Plan Withdrawal Liability
In a decision (Sun Capital) with important implications for private equity sponsors, the U.S. Court of Appeals for the First Circuit has concluded that a private equity fund can be held liable for ERISA liabilities incurred by portfolio companies in which the fund has a sufficient stake
United States
27 Jul 2013
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