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Rules and practice
|All Authors / Contributors:||
Danforth Townley; Practising Law Institute.
|Notes:||Prepared for program of the same name held June 2007.
|Description:||558 pages : illustrations ; 23 cm.|
|Contents:||SEC proposed rules: 17 CFR parts 230 and 275, prohibition of fraud by advisers to certain pooled investment vehicles; accredited investors in certain private investment vehicles, Dec. 27, 2006 --
The sec and hedge funds: A continuing regulatory saga / Barry P. Barbash, Eric C. Goldstein --
Current sec proposed rulemaking with regard to anti-fraud rule 206(4) and the accredited investor standard under regulation D and The Security Act of 1933 / Michael G. Tannenbaum --
Hedge Fund Activism / Paul R. Kingsley --
SEC enforcement actions involving hedge fund manager / Marybeth Sorady, Adam R. Bolter --
SEC administrative proceeding file no. 3-12590, release no. 55465, in the matter of Goldman Sachs execution & clearing, L.P. F/K/A Spear, Leeds & Kellogg, L.P., respondent, March 14, 2007 --
Prime brokerage / Pamela Arnstein, Michael Huber --
Hedge fund-linked derivatives products / Angie Kama --
Blurring the line between hedge funds and private equity / Stephanie R. Breslow --
The convergence of hedge funds and private equity funds / Danforth Townley --
What to do when things go wrong --
the dissolution of a hedge fund / Phillip H. Harris, Marco V. Masotti.
|Series Title:||Corporate law and practice course handbook series, no. B-1607.|
|Responsibility:||chair, Danforth Townley.|