Asset management is one of the fastest growing and most highly regulated
industries in America. Practitioners need practical answers to complex
questions and up-to-the-minute reporting on regulatory and industry
developments. The Investment Lawyer is the first and only legal publication
devoted exclusively to investment management. It provides timely and practical
coverage of the entire spectrum of problems investment professionals must
confront and solve, such as:
What is the scope of disclosure under the proposed proxy voting rules?
What does the practitioner need to know to be ready for the wave of fund
acquisitions?
And what are the special problems associated with bank-affiliated funds?Plus,
The Investment Lawyer monitors all of the key regulators -- the SEC,
CFTC, DOL, and IRS, as well as state regulators and the Congress -- to keep
its readers abreast of the latest regulatory developments and concerns.
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