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Private Equity Forum (Thirteenth Annual)
Corporate & Securities
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Table of Contents
Table of Contents
Chapter 1. Recent SEC Staff Guidance on Investment Advisers Act Compliance and Disclosure Issues for Private Fund Managers
Chapter 2. Debevoise & Plimpton LLP Client Update: Amendments to the Advisers Act Performance Fee Rule
Chapter 3. Debevoise & Plimpton LLP Client Update: SEC Adopts Rule Defining "Family Office" Under the Investment Advisers Act
Chapter 4. Debevoise & Plimpton LLP Client Update: SEC Adopts New Pay-To-Play Rule
Chapter 5. Davis Polk Client Memorandum: SEC Issues Final Rules Implementing Dodd-Frank Amendments to the Investment Advisers Act of 1940
Chapter 6. Paul Weiss Client Memorandum: SEC Adopts Final Form PF: Certain Implications for Hedge Fund and Private Equity Fund Advisers
Chapter 7. Outline of Key Aspects of Title VII of the Dodd-Frank Wall Street Reform and Consumer Protection Act Affecting Private Equity Fund Managers
Chapter 8. Sullivan & Cromwell LLP Memorandum: Volcker Rule: Federal Reserve Issues Statement of Policy Clarifying the Conformance Period Under the Volcker Rule
Chapter 9. Conflicts of Interest and Other Ethics Issues
Chapter 10. Special Negotiating Committees: If, When, Who and How--A Guide for the General Counsel
Chapter 11. IPO On-Ramp Legislation: What Title I of the Jobs Act Means for You
Chapter 12. Significant Topics in Private Equity
Chapter 13. U.S. Securities and Exchange Commission: Commissioner Daniel M. Gallagher Keynote Address at the Investment Adviser Association Investment Adviser Compliance Conference/2012
Chapter 14. The FCPA and Private Equity: Important Considerations in an Increasingly Active Regulatory Environment
Chapter 15. U.S. Private Fund Regulation
Chapter 16. Raising a Private Equity Fund--Key Business and Legal Issues for Investors
Chapter 17. What Private Funds Can Expect from the CFTC's Recent Curtailment of CPO and CTA Exemptions (PowerPoint)
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