SEC Rulemaking – Are Costs Effecting Progression?
Post

On April 17, 2012, in testimony before the House Oversight and Government Reform subcommittee, Mary Schapiro advised the SEC to consider rules issued by congressional mandates, as well as rules the SEC develops through its own authority.  Schapiro acknowledged the … Read More

ERISA Fiduciary Duty Considerations
Post

Lately, we are receiving many inquiries relating to ERISA fiduciary considerations.  Section 3(21)(A) of ERISA defines a “fiduciary” to a plan as persons who fall into any one of the three categories, whether or not they entered into a formal … Read More

SEC Provides Relief from Registration for Certain Advisers
Post

On January 18, 2012, the staff of the Investment Management Division of the SEC issued a No-Action Letter (the “ABA Letter”) providing relief from registration for certain advisers that are affiliated with a registered adviser, subject to certain conditions. Significantly, … Read More

1 74 75 76 77 78 79 80 90