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December 5, 2019
Partner Gary Anderson and associate Nick Miller co-authored an article in HFM Week titled, “Restrictive Covenants and Tail Right Provisions in Seed Transactions: Balancing Seeder Protection and Key Person Autonomy.”
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December 4, 2019
SEC Proposes Amendments to the Advertising Rule and Cash Solicitation Rule
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November 21, 2019
SKRC November Compliance Flash
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November 18, 2019
SEC Staff Extends Temporary No-Action Relief to Broker-Dealers Regarding MiFID II Research Requirements
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November 14, 2019
Co-Director of the SEC’s Enforcement Division Discusses Current Areas of Focus Involving Registered Investment Adviser Conflicts of Interest
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November 11, 2019
2020 IARD Renewal Program
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November 6, 2019
OFAC Update: New Venezuela General Licenses
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October 29, 2019
SEC Releases FAQ on Investment Adviser Conflicts of Interest Disclosure for Certain Compensation Arrangements
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October 24, 2019
Turkey Sanctions Removed — For Now
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October 21, 2019
New U.S. Sanctions Against Turkey
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October 17, 2019
Seward & Kissel Releases 2018/2019 Hedge Fund Side Letter Study
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October 15, 2019
How Hedge Fund Managers Can Access Illiquid Investments
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October 8, 2019
SKRC Compliance Weekly – October 8, 2019
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October 2, 2019
Third Point Funds Fined for Violating the Hart-Scott-Rodino Act
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October 1, 2019
SKRC Compliance Weekly – October 1, 2019
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