Investment Management Regulatory Update - March 2018
Rules and Regulations
- SEC Proposes Amendments to Liquidity Disclosure Requirements
- SEC Staff Releases Updated FAQs on Liquidity Risk Management Reforms
Industry Update
- SEC Announces National Compliance Outreach Seminar for Investment Companies and Investment Advisers
Litigation
- SEC Announces Self-Reporting Initiative for Rule 12b-1 Fee Disclosures
- United States Pursues False Claims Act Suit Against Private Equity Firm for Portfolio Company’s Alleged Prescription Kickback Scheme
- SEC Charges Ameriprise with Overcharging Retirement Account Customers for Mutual Fund Shares
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