Publications


09/01/2011 Adjustments to Qualified Client Standard
01/27/2011 Exemptions From Investment Adviser Registration: The SEC’s Proposed New Rules
12/07/2010 Fideicomisos de Infraestructura y Bienes Raíces (FIBRAS)
02/23/2010 FTC Lowers HSR Notification Thresholds for 2010
11/07/2012 Investment Funds Not Liable for Portfolio Company’s Multiemployer Pension Plan Withdrawal Liability
11/05/2010 Is Our Corporation Complying With All the New Laws and Regulations?
07/13/2011 Legal Tips for the Private Equity Professional
01/13/2010 SEC Adopts Amendments to Custody Rule
07/07/2011 SEC Adopts Definition of Family Office
07/21/2011 SEC Adopts Exemptions from Investment Adviser Registration
07/14/2011 SEC Adopts Final Rules Implementing Amendments to the Advisers Act
06/13/2012 SEC Announces Examination Strategy for Newly-Registered Investment Advisers
07/28/2009 SEC Approves NYSE Amendments to Eliminate Broker Discretionary Voting in Uncontested Director Elections
06/23/2011 SEC Extends Investment Adviser Registration Deadline and Adopts Final Rules
05/09/2011 SEC Needs more than Transaction-Based Compensation to Prove Broker Activity
12/28/2010 SEC Proposes New Disclosure and Reporting Requirements for Investment Advisers
02/24/2011 SEC Proposes Private Fund Systemic Risk Reporting on New Form PF
04/12/2011 SEC to Consider Extension of Registration Deadlines Applicable to Investment Advisers
07/23/2010 Significant New Registration, Reporting and Regulatory Requirements Imposed on Advisers to Private Funds
02/18/2010 Texas Business Organizations Code Now Applicable to All Entities
02/14/2011 Voluntary Disclosure Plan for Offshore Assets - Take #2
09/09/2009 Weathering the Storm: Guidelines Issued for Private Equity Investors Acquiring Failed Banks or Thrifts