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Private Fund Regulatory Developments and Compliance Challenges 2016
Chair(s):
K. Susan Grafton
Practice Area:
Hedge funds,
Investment fund management,
Securities and other financial products
Published:
Jan 2016
i
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ISBN:
9781402425844
PLI Item #:
150249
CHB Spine #:
B2217
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Table of Contents
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Front Matter
Faculty Bios
Table of Contents
Chapter 1. Challenges for Private Fund Advisers in Establishing and Maintaining a Compliance Program
Chapter 2. Keynote Address at the Managed Fund Association: “Five Years On: Regulation of Private Fund Advisers After Dodd-Frank”
Chapter 3. Private Equity: A Look Back and a Glimpse Ahead
Chapter 4. Dechert LLP, “Global Private Equity Newsletter” (Fall 2015)
Chapter 5. Regulatory and Compliance Challenges for Private Funds
Chapter 6. Proposed Anti-Money Laundering Obligations for Investment Advisers
Chapter 7. Dechert LLP, “Opportunities for Banking Entities Under the Joint Venture Provision of the Volcker Regulations” (October 2015)
Chapter 8. NFA Proposes Cybersecurity Safeguards: A Continuation of Regulatory Trends in Cybersecurity
Chapter 9. NFA Self-Examination Questionnaire—October 2015
Chapter 10. Updates to the NFA Self-Examination Questionnaire—October 2015
Index
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