Investment Management Regulatory Update - March 2014
SEC Rules and Regulations
SEC Staff Responds to Questions About Form PF
IM Guidance Update Clarifies Advisory Fee Rate Requirement for Multi-Manager Funds
IM Guidance Update Advises Investment Companies on Unbundling of Proxy Proposals
Industry Update
SEC Announces Initiative Directed at Never-Before Examined Registered Investment Advisers
Litigation
SEC Sanctions Credit Suisse for Providing Unregistered Services to U.S. Clients
Notes from Europe: European Regulatory Developments
European Court of Justice decision on scope of ESMA’s powers
ESMA publishes updated Q&A on the application of the AIFMD
ESMA Publishes Updated Table of Current AIFMD Memoranda of Understanding
Political Agreement Has Been Reached on UCITS V
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