CCO Advisory Issues Subcommittee Content

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ICI Default BG
Memo#
34034

SEC Proposes Amendments to Schedule 13D/G Reporting Requirements

On February 10, the SEC, by seriatim approval, proposed amendments to its rules governing beneficial ownership reporting on Schedules 13D and 13G ("Proposal"). Comments on the proposal are due the later of: (i) April 11, 2022 (60 days following the publication of the proposing release...
ICI Default BG
Memo#
34024

SEC Division of Examinations Publishes Risk Alert on Private Fund Advisers

On January 27, the SEC's Division of Examinations ("EXAMS") issued a Risk Alert on private fund adviser compliance deficiencies. The alert compiles results from past exams as seen through the lens of advisers' fiduciary duties and requirements under the Advisers Act prohibiting untrue...
ICI Default BG
Memo#
34016

SEC Proposes Amendments to Form PF

On January 26, the SEC approved proposed amendments to Form PF in an open meeting through a three-to-one vote. Generally, Form PF is filed by investment advisers to private funds to provide confidential information to the SEC and the Financial Stability Oversight Council (FSOC) about...
ICI Default BG
Memo#
33982

ICI Submits Comment Letter on the SEC's Electronic Filing Proposals

In November, the SEC issued two proposals. One would mandate the electronic filing of certain forms that currently must be filed on paper, as well as update certain other forms and processes. The other would require electronic filing through EDGAR of documents that currently may be...
ICI Default BG
Memo#
33957

SEC and CFTC Rulemaking Agendas

The Office of Information and Regulatory Affairs released the Fall 2021 Unified Agenda of Regulatory and Deregulatory Actions on December 13, 2021. The agenda includes regulatory actions that the SEC and CFTC expect to take between now and October 2022.