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Searching Content indexed under Fund Management/ REITs by CMS Cameron McKenna Nabarro Olswang LLP ordered by Published Date Descending.
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1
Banking, Capital Markets And FIS - Legislative News Flash 18 October 2012
On 15 October 2012, Law no. 167/2012 amending Law no. 297/2004 on the capital market ("Law 167") was published in the Official Journal No. 704. Law 167 has brought important changes to the scope of activity of the SSIF (investment firms), by including fiduciary services in the meaning of the New Civil Code and to the application of certain provisions of the Capital Market Law (i.e. market abuse) to greenhouse gas emission certificates traded on a regulated market.
UK
22 Oct 2012
2
Casting The Net - Will You Be Caught By US Rules Affecting UK Fund Managers?
Recent changes to the CEA required under the Dodd-Frank Act are likely to significantly increase the number of UK fund managers who will be required to register as a CPO with the CFTC.
UK
9 Oct 2012
3
New Guidelines On A Common Definition Of European Money Market Funds
The Bulgarian Financial Supervision Commission (the "FSC") recently adopted instructions for implementation of the Guidelines on a common definition of European money market funds.
Bulgaria
13 Sep 2012
4
New Tax On Financial Transactions
A new tax on financial transactions has been introduced , to take effect from 1 January 2013.
Hungary
2 Aug 2012
5
Draft AIFMD Remuneration Guidelines Published
The Alternative Investment Fund Managers Directive ("AIFMD") contains provisions regulating the remuneration of individual fund managers where the fund/fund manager firm is caught by the directive.
UK
30 Jul 2012
6
Umbrella Funds Introduced
An umbrella fund is a collective investment scheme with several distinct sub-funds that are traded as individual investment funds, and treated separately for accounting purposes.
Slovakia
19 Aug 2011
7
Change of Subordinated Debt Interest Rates
On 30 December 2010, the Ukrainian central bank regulator, the National Bank of Ukraine, revised the interest rate caps on funds borrowed by banks as subordinated debt.
Ukraine
24 Jan 2011
8
Client Money/Assets Update: November 2010
2010 continues to be a busy year in the world of client money/assets (CASS), both for firms and for the FSA, and 2011 is now set to be a year of substantial change.
UK
15 Nov 2010
9
Professional Trustees: Use of Trustee Exoneration Clauses
In a measure that will be welcomed by all professional trustees, and by their professional indemnity insurers, the Government has signalled approval of the continued use of this important layer of protection for trustees.
UK
9 Nov 2010
10
AIFM Directive - New solutions to Old Problems
The Belgian Presidency of the EU Council has issued a further compromise draft of the AIFM Directive, dated 30 September 2010 (with some amendments published on 4 October 2010).
UK
7 Oct 2010
11
FSA consults on Client Asset Protection - the Beginning of a Journey
Over the past few months FSA has turned its spotlight on client asset protection, and most recently it has published its first consultation paper (CP) on amendments to the client assets rulebook (CASS).
UK
8 Apr 2010
12
The New AIFM Directive Draft - A Return To Common Sense?
On 12 November 2009, the Swedish Presidency of the EU Council issued a proposal for an amended draft of the Alternative Investment Fund Managers Directive.
UK
25 Nov 2009
13
Regulation Of Nominee Banks Accounts
Draft legislation to regulate the use of nominee banks accounts is being considered by the State Duma.
Russian Federation
10 Jun 2009
14
European Commission Announces Key Reforms Responding To The Financial Crisis
As anticipated the European Commission made announcements on 29 April 2009 on three areas of reform, which it set out in its Communication to the European Council in early March.
UK
8 May 2009
15
Short-Selling - FSA´s Proposal For A Permanent Regime
On 6 February 2009, FSA published its long awaited discussion paper on a proposed permanent regime to regulate short selling in the UK.
UK
24 Feb 2009
16
Pension Schemes And Investment Management: Developments In VAT
UK pension schemes are currently charged VAT on investment management fees when they invest using segregated rather than pooled funds.
UK
3 Dec 2007
17
Listed Funds-The Story Continues
In February this year, our Law-Now article described the UK Listing Authority’s proposals to change the listing rules that apply to listed investment entities on the UK Official List.
UK
27 Jul 2007
18
Listed Funds - Change For The Better?
Shortly before Christmas, the UK Listing Authority (UKLA) released a further consultation on the listing rules that apply to listed investment entities.
UK
23 Feb 2007
19
The Hedge Fund Industry: An Increasingly Litigious Environment
Inherently secretive in nature and heavily dependant on the maintenance of a strong reputation for their survival, hedge funds have historically been relative strangers to the process of litigation. A number of recent actions brought by and against hedge funds in the United States suggests that the position is changing.
UK
14 Dec 2006
20
Advice of Investment Bank relied upon in the absence of contract
A judgment handed down on 13 June 2006 shows that investment banks may incur liability for negligent misstatement in respect of parties with whom they have no contractual relationship, even though they have a direct contractual relationship with another party.
UK
16 Jun 2006
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