Forward Features Calendar

Legal & Regulation

IVP signs 25 hedge fund clients to regulatory compliance platform

Indus Valley Partners’ IVP RAPTOR (Regulatory Analytics Portfolio Transparency Operational Reporting) has been implemented by 25 clients since its October 2012 launch.   With a combined client AUM of USD200bn, IVP RAPTOR has enabled some of the world’s largest alternative

FINRA expels MICG bars CEO for over Venture Strategies hedge fund fraud

The Financial Industry Regulatory Authority (FINRA) has expelled MICG Investment Management, LLC (MICG) of Newport News, VA, and barred Jeffrey A Martinovich, the firm’s CEO and majority owner, for securities fraud, misusing investors’ funds and causing false account statements to

Maples Fund Services expands regulatory reporting service

Maples Fund Services has extended its regulatory reporting service to incorporate Annex IV reporting for AIFMD. The new offering will provide an interactive solution for clients to streamline their regulatory reporting workflow from the capture of data and key assumptions

SEC charges CR Intrinsic analyst with insider trading

The Securities and Exchange Commission (SEC) has charged a former analyst at an affiliate of hedge fund advisory firm SAC Capital Advisors with insider trading.  The SEC alleges that Ronald N Dennis got illegal tips from two friends who were

Margaret Bailey, Director, Sales – Americas, at Lombard Risk

Lombard Risk launches Dodd-Frank Engine solution

Lombard Risk Management has addressed Title VII of the Dodd-Frank Act with its Dodd-Frank Act Engine solution. The Lombard Risk Dodd-Frank Act Engine solution is designed to address Title VII “Wall Street transparency and accountability – regulation of the OTC swaps markets” issue. This requires reporting

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08 October, 2026 – 5:00 pm

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