 |
 |
 |
 |
A Review of Directors’ Fiduciary Duties Beyond Sarbanes - February 2005
View the newsletter- PDF, 111KB
|
 |
 |
A Review of Directors Fiduciary Duties, Revisiting Dual Directorships in the US - October 2004
View the newsletter- PDF, 111KB
|
 |
 |
Changes on EU Competition Law and the Effect on Technology Licensing in the European Union - April 2004
View the newsletter- PDF, 140KB |
 |
 |
Implications of New Investment Advisers Act Look-Thru Rule for Non-U.S. Advisers - November 2005
View the newsletter- PDF, 30KB |
 |
 |
New SEC Rules Requiring Registration of Hedge Fund Managers: Executive Summary and Recommended Compliance Timeline - December 2004
View the newsletter- PDF, 99.5KB |
 |
 |
Client Alert: Exemption from CPO/CTA Registration Requirements for Operators and Advisers of Certain Pools - December 2002
Please click here to view the article - PDF, 84KB |
 |
 |
Selected Articles on Recent Developments in the Area of Investment Management - November 2002:
- How Proposed Patriot Act Regulation Will Affect Hedge Funds
- New York Amends Investment Adviser Requirements under Martin Act
- SEC Revisits Investment Advisers Act Issues relating to Disclosure of Private Investment Fund Information over the Internet
- Implications for Offshore Funds and Their Advisers
- Limited Broker Dealer Explored by Securities and Exchange Commission Small Business Forum
Please click here to view the article - PDF, 159KB |
 |
 |
Judges Now May Exercise Their Discretion in White Collar Cases to Promote Uniform and Accurate Sentences After Recent U.S. Supreme Court Holding That Federal Sentencing Guidelines Violate Sixth Amendment - January 2005
View the newsletter- PDF, 98KB
|
|
 |
|
 |