Journal of Investment Compliance: Volume 8 Issue 1

Subjects:

Table of contents

Hedge fund regulation: current trends in the industry

Michael S. Lukaj, Girard M. Healy

This paper aims to provide an analysis and report on the current regulatory environment for US hedge funds and explore the latest actions from governmental groups and the private…

2532

Hedge fund side letters: guidance for UK managers

Peter D. Astleford, Richard Frase, Andrew Hougie, Stuart Martin

This paper seeks to discuss the Guidance Note on disclosure of hedge fund side letters issued by the UK's Alternative Investment Management Association (AIMA) in September 2006.

156

Insider trading

Timothy P. Burke, Hope M. Jarkowski

This paper aims to remind investment firms of the importance of policies, procedures, and supervisory controls to detect the misuse of material, non‐public information.

1038

DOJ's Antitrust Division places opening bid on private equity firm investigation

Geraldine Alexis, Troy Sauro

This paper aims to summarize and discuss the motivation behind an investigation recently begun by the Department of Justice Antitrust Division concerning the practices of private…

174

NASD expands broker‐dealer's duty of best execution

Soo J. Yim, Christie Farris Öberg

This paper seeks to explain amendments to NASD Rule 2320(a), commonly known as the “best execution rule”, approved by the Securities and Exchange Commission on August 21, 2006.

120

Share‐class suitability: taking the guesswork out of mutual fund remediation

Bhaskar Dhandapani

This paper aims to provide a practitioner's view on the key areas broker‐dealers need to evaluate while undergoing a mutual fund remediation exercise.

155

FASB statement on fair value measurements

Anthony H. Zacharski, Alan Rosenblat, Erin Wagner, Adam Teufel

This paper sets out to describe the FASB Statement on Fair Value Measurements (FAS 157).

1928

Integrating Sarbanes‐Oxley controls into an investment firm governance framework

J. Louis Anon, Harry Filowitz, Jeffrey M. Kovatch

This paper seeks to describe how Sarbanes‐Oxley controls can be integrated into an investment company's overall corporate governance framework.

443

SEC votes to amend and clarify operation of redemption fee rule

Jeffrey Puretz, Robert Robertson, Alan Rosenblat, Jutta Frankfurter, Cortney Scott

This paper aims to summarize amendments to Rule 22c‐2 under the Investment Company Act of 1940, the “redemption fee rule”, adopted by the Securities and Exchange Commission on…

ISSN:

1528-5812

Online date, start – end:

2000 – 2021

Copyright Holder:

Emerald Publishing Limited

Editor:

  • Henry A. Davis