Investment management counsel David Tittsworth (Washington, D.C.) was quoted in an article in the September issue of Investment Advisor magazine that examines changes set to occur in the investment management industry in 2016. Mr. Tittsworth notes that while the public spotlight has been on an anticipated fiduciary rulemaking by the SEC under Section 913 of the Dodd-Frank Act, other rulemakings from the Division of Investment Management appear to be taking precedence.
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