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Hedge Fund Compliance & Regulatory Challenges 2014

On-Demand Web Programs  On-Demand Web Programs    

From the program: Hedge Fund Compliance & Regulatory Challenges 2014

Released on: Feb. 11, 2014

Nearly 40% of investment advisers that are currently registered with the Securities and Exchange Commission manage at least one private fund.  As a result, the SEC’s examination staff has developed new strategies and processes to address the risks associated with managing hedge funds and other private funds.  In addition, in light of the Commodity Futures Trading Commission’s increased jurisdiction over private funds, the National Futures ...

Featured Faculty/Authors
George M. Wilson, MBA, CPA

George M. Wilson, MBA, CPA ~ Director, SEC Institute, a Division of PLI

Mina Park

Mina Park ~ Director, Banking and Capital Markets Origination Legal, Asia Pacific, Citi

Harvey I. Saferstein

Harvey I. Saferstein ~ Mintz, Levin, Cohn, Ferris, Glovsky and Popeo, P.C.