Investment Management Regulatory Update - May 2013
SEC Rules and Regulations
- SEC Staff Responds to Questions About Form PF
- SEC Requests Information to Inform Consideration of Uniform Fiduciary Standard for Broker-Dealers and Investment Advisers
Industry Update
- SEC Official Discusses Broker-Dealer Registration Issues for Private Fund Advisers
- NFA Amends Rules to Simplify Reporting Requirements for CPO and CTA Members
Litigation
- SEC Charges Former Public Company Employee in Expert-Network Insider Trading Case
- SEC Charges Mutual Fund Directors and Service Providers for Deficiencies Relating to Investment Advisory Contract Approvals
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