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SEC Custody Rule Update for Private Fund Managers

By Bryan Daly & Marc E. Elovitz on August 15, 2013
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The Securities and Exchange Commission’s Division of Investment Management recently issued a Guidance Update regarding the Custody Rule (Rule 206(4)-2 under the Investment Advisers Act). The Guidance Update states that the Division will not require a registered investment adviser to hold certain certificated “privately offered securities” with a qualified custodian, thereby resolving a Custody Rule issue faced by many private fund managers. The Guidance Update should be evaluated in the context of other actions and statements on the Custody Rule recently issued by SEC staff.

Click here to read more about complying with the Custody Rule.

Photo of Bryan Daly Bryan Daly

Bryan Daly is a partner in the Governmental and White Collar Defense Practice Groups and works out of the firm’s Los Angeles office. Bryan is a former Assistant U.S. Attorney for the Central District of California, Criminal Division, Public Corruption and Government Fraud…

Bryan Daly is a partner in the Governmental and White Collar Defense Practice Groups and works out of the firm’s Los Angeles office. Bryan is a former Assistant U.S. Attorney for the Central District of California, Criminal Division, Public Corruption and Government Fraud Section.

Read more about Bryan DalyEmail
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  • Posted in:
    Banking, Finance and Securities
  • Blog:
    Regulatory & Compliance Update
  • Organization:
    Schulte Roth & Zabel LLP

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