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SEC Announces 2022 Examination Priorities

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U.S. District Court Rules That “Control Share Acquisition” Provision of Closed-End Fund Bylaws Violates the Investment Company Act of 1940

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Financial Services Company Fined $100 Million and Agrees to Pursue Registration of its Crypto Lending Product

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SEC Charges Founder of Registered Investment Adviser with Fraud

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SEC Proposes Rules and Amendments to Enhance Cybersecurity Preparedness of Investment Advisers and Investment Companies

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SEC Chair Gary Gensler Highlights Opportunities to Strengthen Cybersecurity Practices of Investment Companies and Advisers in Speech

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SEC Proposes Amendments to Rule 10b5-1 and Enhanced Disclosures Relating to Rule 10b5-1 Trading Plans in Issuer Reports and Certain Section 16 Reporting Forms

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SEC Proposes Rule to Increase Transparency for Securities Lending Transactions

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SEC Division of Examinations Issues Risk Alert on Investment Adviser Fee Calculations

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SEC Division of Examinations Staff Issues Risk Alert for Advisers that Provide Electronic Investment Advice

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SEC Proposes Amendments to Update Electronic Filing Requirements

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SEC Charges Former Executives of Registered Investment Adviser with Fraud

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SEC Publishes New FAQ on Form N-CEN

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SEC Withdraws and Modifies Certain Staff Letters in Light of Rule 18f-4

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SEC Issues Statement on Investment Company Cross Trading Practices Potentially Impacted by the Valuation Rule

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Additional Semi-Transparent ETF Sponsor Receives Amended Exemptive Relief to Use “Custom Baskets”

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SEC Releases FAQs on New Rules Establishing Updated Regulatory Framework for Fund Valuation Practices

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Mutual Fund Sponsor Receives Approval for First Mutual Fund to ETF Conversion

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SEC Issues Statement on Insurance Product Fund Substitution Applications

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SEC Releases Primer on Money Market Funds and The Repo Market

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Two Semi-Transparent ETF Sponsors Receive Amended Exemptive Relief to Use “Custom Baskets”

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Independent Directors Council Submits Comment Letter on Federal Trade Commission’s Proposed Amendments to Premerger Notification Requirements

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SEC Staff Grants No-Action Relief from Section 17(f) of the 1940 Act and Rule 17f-2 Thereunder with Respect to Self-Custody of Loan Interests

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Invesco Receives Relief from the SEC to Launch Semi-Transparent ETFs

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SEC Amends Rules to Facilitate Electronic Submission of Documents

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Pricing Service to Pay $8 Million to Settle SEC Charges

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SEC’s Investment Management Division Issues Guidance on Funds’ Risk Disclosure Regarding Investments in Emerging Markets

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SEC Adopts Rule to Modernize Fund Valuation Practices

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SEC Settles Charges Against Investment Advisory Firms and Dually-Registered Broker-Dealer and Investment Adviser Firms Related to Sales of Complex Exchange-Traded Products

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Compliance and Effective Dates Set for Final Rule and Related Amendments for Fund-of-Funds Arrangements

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SEC Adopts Modernized Regulatory Framework for Derivatives Use by Registered Investment Companies and Business Development Companies

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SEC Staff’s Latest Dear CFO Letters Rescind or Modify Certain Existing Staff Positions and Express New Staff Positions

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SEC Adopts Final Rule and Related Amendments for Fund-of-Funds Arrangements

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SEC Reaches Settlement with Investment Adviser Regarding Recapture of Waived Fees and Reimbursed Expenses from Money Market Funds

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SEC Settles Charges Against Investment Adviser for Unlawful Cross Trades

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NYSE Arca, Inc. Files Proposed Rule Change to Adopt a Generic Listing Rule for Certain Semi-Transparent ETFs

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SEC Proposes Modernizations to Fund Shareholder Reports and Disclosures

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Director of SEC’s Division of Investment Management Discusses Easing Restrictions on Certain Registered Fund Investments in Private Funds

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Registered Fund Adviser and Affiliate Censured and Fined for Violations of Section 12(d)(1)(A) (Fund of Funds Limitations) and Compliance Rules

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Department of Labor Proposes Rule Affecting ESG Plan Investments

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SEC Extends In-Person Meeting Relief for Fund Boards

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Federal Reserve Announces Updates to Secondary Market Corporate Credit Facility

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SEC Staff Issues No-Action Letter for Funds Participating in TALF 2020

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CFTC Issues Customer Advisory Regarding Commodity ETPs and Funds

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SEC Staff Withdraws Prior No-Action Guidance on State Control Share Acquisition Statutes

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FINRA Issues Notice Reminding Firms of Sales Practice Obligations for Certain Exchange-Traded Products

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SEC Charges Three Former Audit Firm Partners for Exam Sharing Misconduct

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ETF Sponsors Submit Letters to Major Exchanges Regarding ETP Categorization

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Major Exchanges for ETFs Receive Approval for Generic Listing Standards for ETFs that Can Rely on Rule 6c-11

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SEC Fines Fund Adviser for Overvaluing its Securities and Misleading Performance Disclosures

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SEC Adopts Rule Clarifying Fair Value Determinations

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SEC’s Division of Investment Management Issues Statement on Importance of Delivering Timely and Material Information to Investment Company Investors

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SEC’s Division of Investment Management Issues Information Update on Exemptive Application Hearing Requests

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SEC Provides Temporary Relief to Business Development Companies Related to COVID-19

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Two Semi-Transparent ETFs Listed for Trading on a U.S. Exchange

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SEC Staff Grants Temporary Relief to Support Open-End Funds

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SEC Provides Revised Relief to Assist Registered Funds Affected by the Coronavirus

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SEC Staff Grants Temporary Relief to Support Money Market Funds

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Federal Reserve Opens Expanded Money Market Fund Liquidity Facility

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Federal Reserve Creates Money Market Fund Liquidity Facility

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Broker-Dealer Entities Fined $35 Million for Violations Relating to Inverse ETF Recommendations to Retail Investors

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SEC Requests Comment on Fund Names Rule; Seeks to Eliminate Misleading Fund Names

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Blackstone Receives Order on Novel Exemptive Application under the 1940 Act

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Non-Transparent ETFs Receive Approvals to List on an Exchange

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Blackstone Receives Notice on Novel Exemptive Application under the 1940 Act

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Major Exchanges for ETFs Have Filed Proposed Rule Changes to Establish Generic Listing Standards for ETF Shares Permitted to Rely on Rule 6c-11

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SEC Proposes to Modernize Auditor Independence Rules

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Non-Transparent ETF Sponsors Request Additional Relief

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