
Investment Management Legal and Regulatory Update - October 2019
October 21, 2019
View as PDFInvestment Management Legal and Regulatory Update - October 2019
October 21, 2019
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Download this quarter’s edition of the Investment Management Legal and Regulatory Update to read about the following topics:
LATEST DEVELOPMENTS: FUNDS
- SEC Encourages Funds to Review Performance and Fee Disclosures
- SEC Provides Recommendations to Improve Principal Risks Disclosure
- SEC Modernizes the Approval Framework for Exchange-Traded Funds
LATEST DEVELOPMENTS: ADVISERS
- SEC Provides Guidance Regarding Advisers’ Proxy Voting Responsibilities
- OCIE Issues Risk Alert Regarding Principal and Agency Cross Trading
- OCIE Issues Risk Alert Relating to Oversight of Supervised Persons with Disciplinary Histories and General Compliance and Supervision Issues
LITIGATION
- Second Circuit Finds Private Right of Action under Section 47(b) of the Investment Company Act
- Regulation Best Interest Litigation
- Courts Reject Mutual Fund Excessive Fee Claims Following Trials
COMPLIANCE DATES FOR FINAL RULES
- Liquidity Risk Management Programs (Rule 22e-4)
- Form N-LIQUID
- Amendments to Form N-CEN Associated with Liquidity Rule
- Amendments to the Certification Requirements of Form N-CSR
- Investment Company Reporting Modernization: New Form N-PORT
- Rescission of Form N-Q
- Form N-1A
- FAST Act Amendments Impacting Registration Statement and N-CSR Filings
- Form CRS, Client Relationship Summary
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