December 9, 2024 UPDATE – Corporate Transparency Act Blocked by Recent Injunction December 5, 2024 Corporate Transparency Act Blocked by Recent Injunction June 13, 2024 Continuation Funds: An Increasingly Useful Closed-End Liquidity Tool May 23, 2024 Partner Bradley Fay Interviewed in Hedge Fund Law Report Article Titled, “Impact of Amendments to QPAM Exemption on ERISA Funds” February 12, 2024 Tax partner Brett Cotler authors article for Private Equity Law Report titled, “Tax Court Ruling Is a Setback for Fund Managers Structured As Limited Partnerships” January 22, 2024 Seward & Kissel attorneys co-authored a chapter for the ICLG – ESG Law 2024 titled, “U.S. Legal and Compliance Issues Relating to ESG for Private Fund Advisers” January 12, 2024 New Resources for Growth Equity and VC Managers January 2, 2024 FinCEN’s New Rule on Beneficial Ownership Information Reporting Requirements: Application to Investment Advisers and Related Entities December 18, 2023 SEC Approves Final Rule – Mandatory Clearing of Transactions in US Treasury Securities October 31, 2023 ISDA 2023 Equity Swap – 2021 Definitions Protocol Opened October 30, 2023 October 18, 2023 SEC Adopts Amendments to Regulation 13D-G October 3, 2023 SEC Proposes Improvements to EDGAR Filer Access and Account Management October 3, 2023 SEC Sweep into Marketing Rule Violations Results in Charges Against Nine Investment Advisers September 18, 2023 Compliance Dates for Final Rules Regarding the Regulation of Private Fund Advisers September 11, 2023 SEC Charges FinTech Investment Adviser with First Violation of the Marketing Rule and Additional Compliance Violations Load more