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2019 SEC Regulatory Summary – Advisers and Funds

By Kelley Howes & Susan Gault-Brown on January 2, 2020
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Before closing the books on 2019, registered investment advisers and funds should take a look back at the activity undertaken by the SEC and its staff in the past year and carefully consider steps to be taken to implement new and amended regulations adopted by the SEC throughout the year.

The start of a new year is also a good time to evaluate what remains on the SEC’s regulatory agenda.

Click here to read more.

  • Posted in:
    Banking, Finance and Securities
  • Blog:
    IM Insights
  • Organization:
    Morrison & Foerster LLP

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