- SEC Proposes New Reporting Regime for Short Sales (March 10, 2022)
- SEC Proposes Cybersecurity Risk Management Rules for Registered Funds and Advisers (February 18, 2022)
- SEC Proposes Money Market Funds Reforms (January 10, 2022)
- Podcast: Private Fund Regulatory Update: Recent Developments Regarding Management Fee Calculation and Electronic Communications
(January 24, 2022)
- Ropes & Gray’s Investment Management Update October – November 2021
(December 13, 2021)
- FTC Proposals Could Significantly Expand Registered Funds’ Pre-Acquisition Notice Requirements Under the Hart-Scott-Rodino Act
(July 19, 2021)
- 2021 | 2022 SEC Rules Impacting Registered Funds – Effective and Compliance Dates (June 25, 2021)
- Melissa Bender Talks about the Potential for a Federal Reserve-Backed Digital Currency (May 4, 2021)
- Event: 2021 Examination and Enforcement Priorities for Asset Managers (April 13, 2021)
- Ropes & Gray’s Investment Management Update February – March 2021 (April 7, 2021)
- Corporate Transparency Act Introduces New Reporting Requirements for Investment Funds and Advisers
(March 12, 2021)
- Podcast: The Evolving Regulatory Landscape for ERISA Plan Fiduciaries—The Biden Administration & ESG and Proxy Voting Rules (February 9, 2021)
- Ropes & Gray’s Investment Management Update December 2020–January 2021 (February 3, 2021)
- Private Funds Report, Volume 1 – 2020 Year in Review And A Look Ahead (January 29, 2021)
- Bipartisan Proposal for Extension and Revision of Coronavirus Aid, Relief, and Economic Security Act (CARES Act) – Summary of Key Provisions (January 27, 2021)
- In Reuters Legal Video, Paul Tropp Examines SPAC Growth and Law Firm Impact (January 28, 2021)
- Peak Performance: Challenges and Opportunities in Post-COVID-19 Credit Fund Platforms 2020 (November 2020)
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