May 3, 2024 Webinar: The Recent QPAM Exemption Changes: What You Need to Know April 2, 2024 Joseph Morrissey to speak at PEI’s Private Fund Compliance Forum March 6 2024 Debra Franzese speaking on RCW and Private Funds CFO webinar titled “ESG: Risks, Rewards and Opportunities” on March 26, 2024 January 29, 2024 Daniel Bresler discusses SEC’s Restricted Activities Rule on Simmons & Simmons webinar January 18, 2024 Joseph Morrissey discusses SEC’s Preferential Treatment Rules on Simmons & Simmons webinar December 6, 2023 Patricia Poglinco and Kevin Cassidy discuss SEC Rules for Private Fund Advisers (scope & practical guidance) on Simmons & Simmons webinar November 9, 2023 Dan Bresler Speaks on Abacus Group’s Cyber Tech Talk Series October 31, 2023 Kevin Neubauer Speaks on Panel at 3rd Annual LPGP Connect CFO/COO Private Equity Event September 27, 2023 Private Fund Adviser Rules Webinar March 9, 2023 SEC Spotlight: Off-Channel Communications and Recordkeeping January 19, 2022 U.S. Legal & Compliance ESG Considerations for Private Fund Advisers & FAQs April 8, 2021 The Irish Limited Partnership: Key Considerations for US Private Fund Managers February 26, 2021 GDPR and US Investment Adviser Marketing Changes January 21, 2021 ESG Spotlight Series: Sustainable Finance Disclosures Regulation (SFDR): Applicability for U.S. Managers July 9, 2020 SEC Spotlight Series: OCIE Private Funds Risk Alert Load more