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March 1, 2012
Reporting Obligations for Exempt Reporting Advisers
February 28, 2012
Partners Greg Cioffi and Jeff Berman recently co-authored an article titled, “Subscription (Capital Call) Loan Facilities: The Devil is in the Details,” which was published in The Deal Pipeline and posted on TheDeal.com regarding loan facilities to private equity funds collateralized by the unfunded capital commitments of the fund’s investors.
February 2012
Partners Bruce Paulsen and Ted Horton, and associate Jeffrey Dine co-authored an article titled, “The risks of mergers,” which appear in the February 2012 edition of Maritime Risk International.
February 24, 2012
SEC Adopts Revised Performance Compensation Rule and Transition Rules
February 22, 2012
New ERISA Section 408(b)(2) Regulation
February 21, 2012
2011 New Hedge Fund Study
February 15, 2012
Sixth Circuit Decision Raises Question About Effectiveness of Broker-Dealer Liens on Customer Assets
February 10, 2012
Foreign Account Tax Compliance Act (“FATCA”)
February 9, 2012
CFTC Adopts Final Rules Regarding Exemptions from CPO and CTA Registration; Rescinds 4.13(a)(4) Exemption
February 8, 2012
Partner Mike McNamara and associates Jennifer Pearson and Julia Spivack co-authored a chapter in the recent Employment Law 2012: Top Lawyers on Trends and Key Strategies for the Upcoming Year. The chapter was titled, “Occupying the Boardroom: Increasing Government Regulation and Growing Public Anger.”
February 6, 2012
SEC Compliance Outreach Program for Investment Advisers and Investment Companies Subtitle
February 3, 2012
Recordkeeping and Reporting of Swap Information
January 2012
Maritime Group 2011 Year in Review
February 3, 2012
TIC Form SHC Filing Deadline Approaching
February 2, 2012
Accelerated Form 20-F Filing Deadline and XBRL Requirements for Foreign Private Issuers
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