Investment Management Regulatory Update - March 2011
SEC Rules and Regulations
- Federal Agencies Propose Interagency Rule Impacting Incentive-Based Compensation Arrangements of Investment Advisers
Industry Update
- CFTC Proposes Amendments to Regulations for CPOs and CTAs
- Federal Reserve Issues Final Regulations Implementing Volcker Rule Conformance Period
Litigation
- SEC and U.S. Attorney Bring Charges in Expert-Network Insider Trading Case
- SEC Settles with Investment Adviser over IPO Allocations
- SEC Charges AXA Rosenberg with Securities Fraud for Concealing Quantitative Investment Modeling Error
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