Eighth Annual Advanced Topics in Hedge Fund Practices, Part 2: Regulatory and Inspection Priorities for Private Fund Advisers

April 21, 2015

Morgan Lewis is proud to present a fourteen-part podcast recording from our April 21, 2015 conference, Advanced Topics in Hedge Fund Practices.

Morgan Lewis partners Jedd Wider and Timothy Levin chaired this fourteen-part, in-depth discussion of US and international advanced hedge fund topics focusing on manager and investor perspectives.

In Part 2, Michael Weissmann and Jennifer Klass discuss recent trends in the SEC examination process as well as current and important regulatory and inspection priorities for private fund advisers in the hedge fund industry.

See also:

  • Part 1: Enforcement Trends and Issues
  • Part 3: Current Hedge Fund Environment: Institutional Investor/Manager Perspectives
  • Part 4: Current M&A Issues in Transactions Involving Hedge Fund Managers
  • Part 5: Dodd-Frank Developments and Derivatives
  • Part 6: Registered Funds: Considerations for Alternative Investment Managers
  • Part 7: Trading and Investment Practices Affecting Hedge Funds
  • Part 8: Use of Options and Stock Settled Stock Appreciation Rights to Compensate Investment Managers
  • Part 9: Co-Invest Structures and Issues, Seeding Managers and Hedge Fund Trends
  • Part 10: International Fund Issues – Japan and the UK
  • Part 11: Nontransparent Actively Managed ETFs and Smart BETA
  • Part 12: Current Broker Dealer Issues
  • Part 13: Structured Products: CLOs, REMICs, REPACs and Whole Loans
  • Part 14: Perspectives on “Insider Trading” Post-Newman