US Regulation for Asset Managers outside the United States
Sweet & Maxwell (Verlag)
978-0-414-03196-8 (ISBN)
Introduction # Overview of US Regulation; Regulation of Investment Advisers; Regulation of Managers by the US Commodity Futures Trading Commission; US Regulations Impacting Investment Advisers to Employee Benefit Plan (ERISA) Clients; Impact of Investment Company Regulation on Investment Advisers to US-Regulated Funds; Regulation of Asset Managers Conducting Broker-Dealer Activities in the US; The Volcker Rule: Impact on Funds; Marketing Non-US Investment Products to US Investors; US Tax Considerations in Marketing Non-US Investment Products to US Investors; State Regulation of Non-US Investment Advisers and Portfolio Managers; Application of US Economic and Trade Sanctions to Asset Managers outside the US; U.S. Issues for Hedge Funds, Private Equity Funds and Venture Capital Funds; Doing business with State or Local Governments -- Lobbying Issues # #Pay to Play#?; Anti-Trust Issues; Issues when transacting on US securities markets or with US Persons; U.S. Reporting Requirements; Changes to the US Derivatives Markets under Dodd Frank; FATCA.
Mitarbeit |
Berater: Jack Murphy, Karen Anderberg, David Vaughan |
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Verlagsort | London |
Sprache | englisch |
Themenwelt | Recht / Steuern ► EU / Internationales Recht |
Recht / Steuern ► Wirtschaftsrecht ► Bank- und Kapitalmarktrecht | |
ISBN-10 | 0-414-03196-2 / 0414031962 |
ISBN-13 | 978-0-414-03196-8 / 9780414031968 |
Zustand | Neuware |
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