FSA introduces ban on short selling of financial stocks
In the wake of the market meltdown that precipitated the sale of UK mortgage bank HBOS to Lloyds TSB, the Financial Services Authority has introduced new provisions to the Code of Market C
In the wake of the market meltdown that precipitated the sale of UK mortgage bank HBOS to Lloyds TSB, the Financial Services Authority has introduced new provisions to the Code of Market C
New York-listed hedge fund manager GLG partners says it had already taken steps to shift the prime brokerage exposure of its funds away from Lehman Brothers before the US investment bank f
At a time when alternative funds are being blamed in some quarters for exacerbating the financial industry crisis, if not necessarily actually provoking it, and politicians throughout the world are

D Harris + Company’s eight-strong hedge fund team has joined law firm Macfarlanes. Daniel Harris, who founded the boutique hedge fund law firm eight years ago, is also joining Macfarlanes as a consultant. The team specialises in complex swaps, prime

ACA Compliance Group (ACA) has completed the acquisition of Cordium, a provider of governance, risk, and compliance (GRC) products and services, following the receipt of the necessary regulatory approvals. ACA now employs nearly 700 people and provides products and services

With Guernsey’s new opt-in AIFMD equivalent regime effective from 2 January 2014, Fiona Le Poidevin, chief executive of Guernsey Finance, explores how the island offers optionality and substance to fund managers. There is no escaping from the fact that the
International law firm Akin Gump Strauss Hauer & Feld, whose lawyers have been advising clients in the Middle East for decades, has opened an office in Abu Dhabi in the United Arab Emi
Amundi Alternative Investments SAS (Amundi AI) has obtained AIFM authorisation from the French securities regulator (Autorité des Marchés Financiers) for all of its investment solutions. The AIFM directive, transposed by the EU member states on 22 July, regulates alternative fund managers

Broadridge Financial Solutions has launched a new solution to support investment firms with their MiFID II ex-post reporting obligations outlined under Article 50 of the Delegated Regulation. This latest solution is part of a suite of MiFID II services developed
The US Securities and Exchange Commission (SEC) has charged a London-based hedge fund adviser GLG Partners and its former US-based holding company with internal controls failures. The failures led to the overvaluation of a fund’s assets and inflated fee revenue