Comments from Morgan Lewis lawyers based on the firm’s “Fall 2024 Regulatory Roundup” webinar were featured in a Hedge Fund Law Report article. The piece distills the key takeaways from the program, focusing on the newly adopted US Securities and Exchange Commission (SEC) rule requiring investment advisers to implement anti-money laundering programs, SEC enforcement activity against investment advisers and broker-dealers, the new clearing requirement for secondary market transactions in US Treasury securities, Commodity Futures Trading Commission enforcement activity, and National Futures Association rulemaking.
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