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September 26, 2024
Lawrence Rouslin Joins Seward & Kissel’s Real Estate Group
September 25, 2024
SEC Amends Fund Reporting Requirements on Forms N-PORT and N-CEN, Issues Guidance on Liquidity Risk Management Programs
September 19, 2024
Jeffrey Berman and Kevin Cassidy Publish Article in Private Equity Law Report Titled, “Structuring and Finance Considerations of Evergreen Private Credit Funds”
September 18, 2024
Compliance Flash: Reminder to File the 2024 Annual Report of Blocked Property with OFAC
September 18, 2024
Recent SEC Enforcements for Violations of Whistleblower Protection Rule
September 16, 2024
Seward & Kissel Releases 2023 Established Manager Hedge Fund Study
September 12, 2024
Department of the Treasury Releases New AML/CFT Rule for Investment Advisers
September 11, 2024
SEC Enforcement Action Rundown
September 11, 2024
Private Equity Investment into NFL Teams: Tax and Business Considerations
September 10, 2024
Q&A on FinCEN’s New AML Requirements for Certain Investment Advisers
September 6, 2024
SEC Charges Investment Adviser with MNPI-Related Compliance Failures
September 3, 2024
Secondary Transfers of Interests in Private Investment Funds
September 3, 2024
Employment Litigation Roundup: August 2024
September 3, 2024
The QPAM Notification Deadline is September 15, 2024
August 29, 2024
SEC Drops Swing Pricing, Adopts Amendments to Form N-PORT and N-CEN and Issues Guidance on Open-End Fund Liquidity Risk Management Programs
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