In 2013, we continued to see significant regulatory activity targeted at investment advisers to hedge funds and other private funds. The following (this “Annual Review”) is a summary of some of the noteworthy regulatory changes affecting investment advisers that occurred in 2013, as well as certain “best practices” that investment advisers should consider in preparing for 2014. This Annual Review is general in nature and does not constitute legal advice for any specific situation.
To read the summary, please click here.
If you have any questions or would like more information on the issues discussed in this LawFlash, please contact any of the following Morgan Lewis lawyers:Goldman-Richard
This article was originally published by Bingham McCutchen LLP.