Description
Get accurate, up-to-date guidance on the registration, regulation, and compliance requirements imposed on advisers by the Investment Advisers Act of 1940. Written by practitioners for practitioners, it helps you deal with everyday issues involving performance advertising, trade allocations, conflicts of interest, SEC inspections and enforcement, mergers and acquisitions of investment advisers.
Features
- Covers SEC inspections and enforcement
- Discusses conflicts of interest
- Provides thorough treatment of mergers and acquisitions of investment advisers
- Reviews trade allocations
- Summarizes principles of performance advertising