Article 17 Feb 2014 SEC Updates Guidance On Definition Of "Knowledgeable Employee" Under The Investment Company Act United States Commercial
Article 11 Feb 2014 SEC Provides Relief From Broker-Dealer Registration To Private M&A Brokers United States Commercial
Article 10 Dec 2013 Staff Of SEC’s Division Of Corporation Finance Issues Interpretations Of "Bad Actor" Rule United States Commercial
Article 09 Aug 2013 Changes To The Private Offering Market: SEC Eliminates Prohibition On General Solicitation, Disqualifies Bad Actors, And Proposes New Rules United States Commercial
Article 29 Jul 2013 SEC Approves JOBS Act Mandated Rule To Lift General Solicitation Ban, Adopts Rule To Disqualify Bad Actors From Certain Offerings And Proposes Rule Amendments To Enable The SEC To Monitor The Private Offering Market United States Commercial
Article 01 May 2013 New SEC & CFTC Rules Regarding Identity Theft Programs For Private Fund Advisers United States Commercial
Article 17 Apr 2013 Current SEC Broker-Dealer Registration Issues Concerning Private Investment Funds United States Commercial
Article 04 Jan 2012 SEC Excludes Primary Residence for Determining Accredited Investor Status United States Strategy
Article 22 Dec 2011 A Look At The ISS Policy Update For The 2012 Proxy Season United States Commercial
Article 20 Sep 2011 Legislation Drafted To Create An Investment Adviser Self-Regulatory Organization United States Strategy
Article 14 Sep 2011 SEC Issues Concept Release Relating To Mortgage Vehicles United States Commercial
Article 13 Jul 2011 SEC Adopts Investment Advisers Act Rules And Amendments To Implement Dodd-Frank Act United States Finance
Article 02 Feb 2011 SEC Releases Study On The Fiduciary Duty Of Investment Advisers And Broker-Dealers United States Strategy
Article 01 Feb 2011 The SEC and CFTC Propose Systemic Risk Reporting on New Form PF United States Finance
Article 01 Dec 2010 SEC Proposes Investment Advisers Act Rules to Implement Dodd-Frank Act United States Finance