Article 21 Jul 2026 IRS Fixes The ‘1035 Exchange Trap’: What Life Settlement Funds And PPLI Users Need To Know Now United States Tax
Article 15 Apr 2025 Wyden's PPLI/PPVA Deja Vu Proposal: A Tax-Shelter Narrative, A Far Broader Statutory Rule And The Continuing Importance Of Current-Law Compliance United States Finance
Article 29 Aug 2023 SEC Adopts Controversial And Sweeping Changes To Private Fund Rules; Requires Documentation Of Annual Compliance United States Finance
Article 28 Mar 2022 What To Worry About With The SEC's Move To Regulate Private Funds United States Finance
Article 15 Feb 2022 SEC Staff Observes Practices Of Private Fund Advisers That Raise Concerns United States Finance
Article 15 Feb 2022 SEC Proposes Radical Changes To Practices For Private Funds United States Finance
Article 07 Feb 2022 It's Time Once Again: SHC Report Of US Ownership Of Foreign Securities Due March 4 United States Commercial
Article 18 Sep 2012 SEC Proposes Rule Amendments To Permit General Solicitation In Rule 506 And 144A Offerings, Including Offerings By Hedge Funds And Other Private Funds United States Commercial
Article 22 Feb 2012 CFTC Adopts Significant Changes To CPO And CTA Registration And Compliance Requirements United States Finance
Article 18 Nov 2011 Volcker Rule Permits Bank-sponsored Hedge Fund Access Platforms United States Finance
Article 09 Aug 2011 Summary And Analysis Of Dodd-Frank Rules For Investment Advisers - Registration Requirements, Exemptions, Family Offices, Performance Fee Eligibility United States Finance
Article 28 Jun 2011 SEC Adopts Rules Implementing Core Provisions Of Dodd-Frank That Apply To Investment Advisers United States Finance
Article 04 Mar 2011 SEC Issues Proposed Rules Requiring Registration Of Municipal Advisors United States Finance