Mondaq USA: Strategy > Investment Strategy
Duff and Phelps
In this edition of the European Real Estate Market Study, we provide an overview of office, retail and logistic sectors in the European capital market during the first half of 2018 and an outlook for the next coming months.
Day Pitney LLP
On April 17, the IRS issued proposed regulations that provide new guidance for investors seeking to invest in qualified opportunity funds (each, a QOF), a new investment program designed to incentivize long-term investment ...
Ostrow Reisin Berk & Abrams
Every firm was placed in a quartile based on performance.
Ostrow Reisin Berk & Abrams
Boosting profits does not always mean plant layoffs.
Sheppard Mullin Richter & Hampton
The outcomes in the cases remain balanced amongst the investors and States.
Shearman & Sterling LLP
The volume and variety of data available today is growing at a staggering pace, and costs of data storage and processing continue to fall.
Pryor Cashman LLP
Pryor Cashman obtained a significant victory on behalf of client Sciens Capital Management, along with many of its principals and affiliates, in an action that was pending in the United States District Court for the Southern District of New York.
Ruchelman PLLC
On December 13, 2018, the I.R.S. issued proposed regulations under Code §§1471 through 1474 (F.A.T.C.A provisions) as well as under Code §§1441 and 1461 (withholding on non-U.S.
Proskauer Rose LLP
On February 19, 2019, the Securities and Exchange Commission (the "SEC") proposed Rule 163B under the Securities Act of 1933
Jones Day
This video is the first in a four-part series on Jones Day's approach to dealing with the IRS. In it, partner Chuck Hodges discusses stage one - planning for and handling the IRS examination.
BakerHostetler
Private equity (PE) investors entered the physician practice management (PPM) market in 2011, and eight years later the PPM sector continues to be a ripe middle market for PE investors looking to diversify their portfolios.
Ropes & Gray LLP
The following summarizes recent legal developments of note affecting the mutual fund/investment management industry:
Akin Gump Strauss Hauer & Feld LLP
The revised UT Code came into effect on 1 January 2019, with a 12-month transition period for compliance by funds currently registered with the SFC.
Cadwalader, Wickersham & Taft LLP
IOSCO urged issuers to address environmental, social and governance ("ESG") matters in disclosures to investors.
WilmerHale
Many entrepreneurs do not consider implementing a global marketing strategy early on in their companies lifecycle.
Mayer Brown
The Investor Advocate Report also included a report on the newly developed research initiative POSITIER (Policy Oriented Stakeholder and Investor Testing for Innovative and Effective Regulation).
Mayer Brown
The Office of the Investor Advocate released its "Report on Activities for the Fiscal Year 2018" (the "Report").2 During the 2018 fiscal year, the Investor Advocate focused significant attention
Akin Gump Strauss Hauer & Feld LLP
The NFA has determined that registered CPOs must implement an internal controls system and highlighted best practices for such a framework.
Jones Day
In a recent decision, the ITC rejected respondent's argument that complainant did not meet its domestic industry ("DI") requirements because of declining investments over the years ...
WilmerHale
On November 30, 2018, the Southern District of New York issued an opinion reaffirming the long-standing rule that traders cannot be found liable for illegal market manipulation when their trading was motivated by ...
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Pryor Cashman LLP
Pryor Cashman obtained a significant victory on behalf of client Sciens Capital Management, along with many of its principals and affiliates, in an action that was pending in the United States District Court for the Southern District of New York.
Ostrow Reisin Berk & Abrams
Boosting profits does not always mean plant layoffs.
Ruchelman PLLC
On December 13, 2018, the I.R.S. issued proposed regulations under Code §§1471 through 1474 (F.A.T.C.A provisions) as well as under Code §§1441 and 1461 (withholding on non-U.S.
Ostrow Reisin Berk & Abrams
Every firm was placed in a quartile based on performance.
Stroock & Stroock & Lavan LLP
The tax reform legislation of December 2017 added new provisions offering tax benefits to investors reinvesting taxable gain into designated Qualified Opportunity Zones
Sheppard Mullin Richter & Hampton
The outcomes in the cases remain balanced amongst the investors and States.
Shearman & Sterling LLP
The volume and variety of data available today is growing at a staggering pace, and costs of data storage and processing continue to fall.
TMF Group
The US market is very attractive for companies looking to invest and run operations.
Ropes & Gray LLP
The following summarizes recent legal developments of note affecting the mutual fund/investment management industry:
Ropes & Gray LLP
The following summarizes recent legal developments of note affecting the mutual fund/investment management industry:
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