ARTICLE
20 April 2023

Material Investment Management Developments And Template Annual Compliance Checklists For Registered Investment Advisers, Exempt Reporting Advisers, Commodity Pool Operators, Commodity Trading Advisors, And Private Fund Managers

LS
Lowenstein Sandler

Contributor

Lowenstein Sandler is a national law firm with over 350 lawyers working from five offices in New York, Palo Alto, New Jersey, Utah, and Washington, D.C. We represent clients in virtually every sector of the global economy, with particular strength in the areas of technology, life sciences, and investment funds.
Lowenstein Sandler's Investment Management Group is pleased to provide you with the summaries and checklists described below.
United States Compliance
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Lowenstein Sandler's Investment Management Group is pleased to provide you with the summaries and checklists described below.

Summaries of recent legal developments with respect to:

  • SEC's 2023 Examination Priorities
  • Collapse of Silicon Valley Bank: Resources
  • Enforcement Actions Against Investment Advisers
  • SEC Adoption of Amendments to Proxy Rules Governing Proxy Voting Advice
  • Penalties for Violations of Electronic Communications Rules
  • Proposed New Rules Regarding Service Provider Due Diligence and Monitoring
  • SEC Examinations Focused on the New Investment Adviser Marketing Rule
  • SEC Releases Guidance Affecting Certain Pre-IPO Liquidity Products
  • Proposed New Rules Regarding ESG Disclosures
  • SEC Adoption of Rules to Require Electronic Filings
  • OFAC Sanctions and Compliance
  • Targeted Exam Sweep Regarding Options Accounts
  • Risk Alert Regarding Identity Theft Prevention Programs
  • Guidance on Advertising Gross and Net Performance
  • Enforcement Action Against Virtual Currency Exchange
  • AML Best Practices for Private Fund Managers
  • CFTC Swap Clearing Requirements
  • SEC Proposal to Redesignate Custody Rule as Safeguarding Rule
  • SEC Release of Three Simultaneous Rule Proposals Related to Cybersecurity
  • SEC Rulemaking Calendar 2023
  • Rules Regarding Private Fund Managers and Amended Annual Review Requirements
  • Amended PF Requirements for Private Fund Managers
  • Changes to Regulations 13D and 13G Beneficial Ownership Reporting
  • Final Rule Regarding Definition of Dealer
  • SEC Fiscal Year 2022 Enforcement Results
  • CFTC Fiscal Year 2022 Enforcement Results
  • Insider Trading Plans and Related Disclosures
  • Management Fee Offsets and Step-downs
  • QPAM Exemption for Managing ERISA Assets
  • 2022 Tax Developments and Future Considerations

Checklists of compliance considerations for:

  • Private Investment Funds and Their Advisers
  • Registered Investment Advisers and Exempt Reporting Advisers
  • Commodity Pool Operators and Commodity Trading Advisors

Read the full alert here.

The content of this article is intended to provide a general guide to the subject matter. Specialist advice should be sought about your specific circumstances.

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ARTICLE
20 April 2023

Material Investment Management Developments And Template Annual Compliance Checklists For Registered Investment Advisers, Exempt Reporting Advisers, Commodity Pool Operators, Commodity Trading Advisors, And Private Fund Managers

United States Compliance

Contributor

Lowenstein Sandler is a national law firm with over 350 lawyers working from five offices in New York, Palo Alto, New Jersey, Utah, and Washington, D.C. We represent clients in virtually every sector of the global economy, with particular strength in the areas of technology, life sciences, and investment funds.
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