US Regulatory Update: SEC staff provides no-action relief as a result of Court’s Goldstein decision
Jay B Gould and Robert B Robbins of Pillsbury Winthrop Shaw Pittman LLP examine the implications of the SEC’s ‘no-action’ letter to the ABA.
Jay B Gould and Robert B Robbins of Pillsbury Winthrop Shaw Pittman LLP examine the implications of the SEC’s ‘no-action’ letter to the ABA.
In a move designed to provide access to its top-flight hedge fund range, Henderson Global Investors will launch the Henderson Total Return Fund on 01 September 2006.
The Board of Jersey Finance Limited has appointed senior banker Geoff Cook as its new Chief Executive, with effect from 1 January 2007.
AIMA has highlighted the key changes set to be introduced by the EU Capital Requirements Directive (CRD) on 1 January 2007.
GLG Partners’ Fund of Hedge Fund division is to become the first alternative investment manager to install the new matrix-ims software. Responding to the lack of adequate business process and workflow management software solutions in the marketplace, matrix-ims was developed
Bryan Garnier Asset Management, the institutional asset management arm of Bryan Garnier & Co, has launched a hedge fund managed by Adriaan Klop.
SEC Chairman Christopher Cox announced this week that the agency would not seek a review of the US Court of Appeals ruling on registration of HF advisers.
Eurex has connected its first member firm, Transmarket Group Pte Limited, directly to its Singapore telecommunications hub.
CMA Global Hedge PCC Limited has announced further details of its initial investment programme and its disclosure principles.
Shu Nung Lee, CFA, has joined SEC-registered investment adviser Torrey Associates Vice President of Research.