PEOPLE
PRACTICES
NEWS & EVENTS
PUBLICATIONS
About Us
Recognition
Careers
Blogs
Compliance Services
Search
Publications
Clear all filters
Spring 2013
Employment Law News – Spring 2013
May 13, 2013
AIFMD for US Hedge Fund Managers – “Marketing” to UK Investors
May 3, 2013
FATCA Update: Final Regulations and Cayman IGA Negotiations
May 2, 2013
SEC and CFTC Adopt Identity Theft Red Flags Rules
April 2013
Private Funds Bullet Report – April 2013
April 19, 2013
SEC Approves Use of Social Media Sites for Certain Company Disclosures
April 12, 2013
Notice to EDGAR Form 13F Filers
April 10, 2013
Important Reminder Regarding April 30, 2013 Form PF Filing Deadline for Annual Filers
April 8, 2013
Trademark Clearinghouse
April 5, 2013
April 10 Deadline for Swap Counterparties
2012 Edition
Seward & Kissel 2012 New Hedge Fund Study
March 2013
Partner Paul Clark, an acknowledged expert in the area of brokered deposits, has published “Just Passing Through: A History and Critical Analysis of FDIC Insurance of Deposits Held by Brokers and Other Custodians” in the Fall Issue of the Boston University School of Law Review of Banking & Financial Law.
Fall 2012
The Private Funds Report – Index to Covered Topics
March 15, 2013
Additional Documentation May Be Required for Funds Entering Into Cleared Derivatives
Winter 2013
Business Transactions Group 2012 Year in Review
Load more