Article 25 Jun 2012 Pay-To-Play: SEC Extends Compliance Deadline For Provisions Of Advisers Act Rule 206(4)-5 Limiting Payments To Third-Parties United States Commercial
Article 11 May 2011 Pay-To-Play: SEC Staff Provides New Guidance On Advisers Act Rule 206(4)-5 United States Finance
Article 21 Apr 2011 Pay-To-Play: New York City Lobbying Registration Requirements For Placement Agents And Investment Advisers UK Finance
Article 01 Mar 2011 Recent SEC Sweep Highlights The Need For U.S. Investment Advisers Seeking Business From Sovereign Wealth Funds To Develop Policies For FCPA Compliance United States Finance
Article 11 Nov 2010 Pay-to-Play: New Restrictions for Placement Agents Soliciting Public Pension Funds in California UK Finance
Article 20 Sep 2010 New Registration Requirement in Dodd-Frank Legislation May Affect Advisors to State and Local Governments as Well as Persons Who Solicit Public Pension Funds UK Finance