Investment Management Regulatory Update - August 2013
SEC Rules and Regulations
- SEC Grants No-Action Relief to Allow Registered Investment Companies to Maintain Assets with CME to Meet Margin Requirements for Additional Swaps Cleared by CME
- SEC Extends Immediate Effectiveness of Post-Effective Amendments to Additional Closed End Funds
Industry Update
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- CFTC Adopts Final Guidance on Cross-Border Swaps and Compliance Schedule
- SEC’s Division of Investment Management Answers Questions Concerning Form 13F
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Litigation
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- Department of Justice Indicts Hedge Fund Advisers and SEC Charges Advisers’ Founder
- CFTC Brings First “Spoofing” Case Against High-Frequency Trading Firm
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