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SEC Affirms Its Enforcement Authority With New Anti-Fraud Rule Under the Advisers Act - Morrison & Foerster LLP [2007]
SEC Issues Release Adopting Proxy Rule Changes To Require Delivery Of Proxy Materials Via Website - Goodwin Procter LLP [2007]
SEC Adopts New Antifraud Rule Under The Investment Advisers Act Of 1940 - Proskauer Rose LLP [2007]
SEC Staff Issues Denial Of No-Action Request Regarding Broker-Dealer Registration To Company Acting As A Financial Consultant And Finder Of Investors For Small Businesses - Goodwin Procter LLP [2007]
The United States Department of Labor Publishes Final Rule Regarding Labor Organization Officer and Employee Reporting Obligations Under the LMRDA - Proskauer Rose LLP [2007]
SEC Votes To Adopt Antifraud Rule Under Investment Advisers Act Directed At Advisers To Pooled Investment Vehicles - Goodwin Procter LLP [2007]
Investment Managers Warn European Commission On Outsourcing Implications From The UCITS Directive III Proposal - Pillsbury Winthrop Shaw Pittman LLP [2007]
Corporate And Financial Weekly Digest June 29, 2007 - Katten Muchin Rosenman LLP [2007]
Federal District Court Dismisses 401(k) Excessive Fee Litigation - Goodwin Procter LLP [2007]
New Proposed Legislation To Tax Income Derived From 'Carried' Partnership Interests As Ordinary Income - Morrison & Foerster LLP [2007]
Independent Directors Council Issues Report On Board Oversight Of Certain Mutual Fund Service Providers - Goodwin Procter LLP [2007]
New Proposed Legislation Would Tax Certain Publicly Traded Partnerships As Corporations - Morrison & Foerster LLP [2007]
Review Of SECs Semi-Annual Regulatory Agenda - Goodwin Procter LLP [2007]
Proposed NYSE Broker Voting Rule Revised - Bingham McCutchen [2007]
Hedge Fund Manager Fined For Violating HSR Act By Exercising Stock Options - Morrison & Foerster LLP [2007]
Dont Forget To File HSR: Hedge Fund Director Fined $250,000 For Alleged HSR Violations - Chadbourne & Parke LLP [2007]
Ponzi Scheme Transfers By Hedgefund To Broker Avoided In Bankruptcy - Jones Day [2007]
Second Liens And Intercreditor Agreements: Are Those Bankruptcy Voting Provisions Really Enforceable? - Cooley Godward Kronish LLP [2007]
Investment Management Regulatory Update - Fried Frank Harris Shriver & Jacobson [2007]
Do Hedge Funds Have To Disclose Their Trades If They Form A Bankruptcy Committee? - Cooley Godward Kronish LLP [2007]
IOSCO Seeks Comment On Proposed Hedge Fund Portfolio Valuation Principles - Goodwin Procter LLP [2007]
OTS Proposes Expanding Permissible Activities Of Savings And Loan Holding Companies - Goodwin Procter LLP [2007]
Wal-Mart Withdraws Industrial Loan Company Application - Goodwin Procter LLP [2007]
Federal Banking Agencies Issue Proposed Statement on Subprime Lending Practices - Goodwin Procter LLP [2007]
FDIC Schedules Hearing on Increasing State Bank Preemption - Goodwin Procter LLP [2005]
SEC Adopts Rule Regarding Redemption Fee and Intermediary Participation in Mutual Fund Efforts to Police Market Timing - Goodwin Procter LLP [2005]
Congressional Report Proposes Dramatic Changes For Nonprofit Organizations - Powell Goldstein LLP [2005]
FDIC, OCC and FRB Issue Revised Proposed Changes to Community Reinvestment Act Rules; OTS Issues Final Rule Granting Large Thrifts Flexibility to Choose Weights Assigned to CRA Lending, Investment and Service Tests - Goodwin Procter LLP [2005]
Recent Legislation May Impact Offshore Hedge Fund Deferral Arrangements - Goodwin Procter LLP [2005]
OCC Rules State Lending Laws Not Preempted When National Bank Serves as Loan Pool Trustee - Goodwin Procter LLP [2005]


