Investment Management Regulatory Update - October 2014
Industry Update
- IM Director Discusses Changing Regulatory Landscape for Hedge Fund Managers
- CFTC Grants No-Action Relief for Certain CPOs of Pools with Wholly-Owned Trading Subsidiaries
- CFTC Grants No-Action Relief to Permit Additional Third-Party Recordkeepers in Commission Regulations 4.7(b)(4) and 4.23(c)
- Regulators Re-Propose Uncleared Swap Margin, Capital and Segregation Rules for Swap Entities
- FinCEN Publishes Proposed Rule to Enhance Customer Due Diligence Requirements for Financial Institutions
Litigation
- SEC Brings Four Enforcement Actions for Undisclosed Principal Transactions and Other Violations
- SEC Charges Barclays with Compliance Failures after Acquiring Lehman
- SEC Charges Wells Fargo with Failing to Maintain Adequate Insider Trading Controls and Withholding and Falsifying Documents
Notes from Europe: European Regulatory Developments
- European Regulatory Developments Regarding Remuneration in the Financial Services Industry
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