2015 Updates to Template Investment Adviser Compliance Manual

February 19, 2015

We have completed 2015 updates to our template compliance manual for SEC-registered investment advisers. These updates include additional template compliance policies covering cyber security and expense allocations.

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If you have any questions regarding the matters covered in this memo, please contact any of the partners and counsel listed below or your primary attorney in Seward & Kissel’s Investment Management Group.