Searching Content indexed under Fund Management/ REITs by Duane Morris LLP ordered by Published Date Descending.
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Opportunity Knocks – Treasury Releases Second Set Of Opportunity Zone Regulations
On April 17, 2019, the Department of Treasury released a second set of proposed regulations for the Opportunity Zone legislation (the first set of regulations was released in October 2018),
United States
6 May 2019
Pro Bono Makes The Profession: A Profile Of Arfat Selvam, Managing Partner Of The Duane Morris Singapore Office
Arfat Selvam, Managing Partner in the Duane Morris & Selvam, LLP Singapore office was recently profiled by the Law Gazette of the Law Society of Singapore.
United States
22 Feb 2019
New Jersey Is Giving The Gift Of Tax Amnesty This Holiday Season
The state of New Jersey is kicking off the holiday season before the Black Friday sales begin by providing a generous and thoughtful deal to individuals, corporations, partnerships and trusts
United States
22 Nov 2018
Anwalt In Vietnam Dr. Oliver Massmann Bankgeschäfte Und Wertpapiere
Die State Bank of Vietnam (Ngan Hang Nha Nuoc Vietnam, SBV) ist die Zentralbank Vietnams. Sie ist eine auf Ministeriumsebene befindliche Körperschaft, die der Regierung unterstellt ist. Der...
16 Nov 2018
Treasury Department Issues Much-Anticipated Opportunity Zone Regulations
The regulations can be relied on by investors and developers in transactions so long as the rules are followed.
United States
25 Oct 2018
Healthcare Real Estate – Renewed Interest In RIDEA
While the REIT Investment and Diversification Act ("RIDEA") has been in existence since 2008, there has been a clear and recent trend among public healthcare REITS to capitalize on the opportunities the statute provides.
United States
8 Jun 2018
Qualified Opportunity Zones And The Potential To Drive Community Development
On December 22, 2017, as part of Congress' House Resolution 1, the concept of a Qualified Opportunity Zone (QOZ) was added to the toolbox of potential community development tools.
United States
5 Mar 2018
New Pass-Through Entity Deduction Delivers Tax Relief And Complexity
Finally, note that the deduction will not apply to tax years beginning after December 31, 2025.
United States
9 Jan 2018
Federal Banking Agencies Issue Notice Of Proposed Rulemaking To Exempt Commercial Real Estate Transactions Of $400,000 Or Less From Appraisal Requirements
Responding to concerns about the time and cost associated with completing real estate transactions, today the Federal Reserve Board, the Federal Deposit Insurance Corporation, and ...
United States
28 Jul 2017
CDFI Fund Releases Draft Allocation Agreement
The CDFI Fund has released a draft of the proposed allocation agreement for the 2015-2016 New Markets Tax Credit allocation round.
United States
2 Nov 2016
U.S. Supreme Court Issues Ruling On Duty Of Prudence For Investment Options Made Available Under 401(K) Plan
This continuing duty exists separate and apart from the trustee's duty to exercise prudence in selecting investments at the outset.
United States
27 May 2015
CDFI Fund Opens Next Round Of NMTC Allocations
Today the CDFI Fund announced the opening of the next round (2014) of New Markets Tax Credit allocations.
United States
10 Sep 2014
Portfolio Investment
On 12 March 2014, the State Bank of Vietnam issued Circular No. 05/2014/TT-NHNN guiding the opening and use of foreign portfolio investment accounts.
25 Jul 2014
CDFI Fund Issues Interim Rules For Bond Guaranty Program
The CDFI Fund recently published Interim Rules in the implementation of the CDFI Bond Guarantee Program authorized under the Small Business Jobs Act of 2010.
United States
25 Feb 2013
New York Comptroller Seeks Qualcomm’s Records On Political Giving; SEC Contemplating Political Contribution Disclosure Rules
A "books and records" action brought by New York’s comptroller to determine how Qualcomm Incorporated
United States
15 Jan 2013
Supreme Court Holds Mutual Fund Investment Adviser Not Liable For Misleading Statements In Fund's Prospectus
On June 13, 2011, in "Janus Capital Group, Inc. v. First Derivative Traders", the U.S. Supreme Court held that a mutual fund investment adviser and administrator could not be held liable under federal securities laws for alleged misrepresentations in the prospectuses issued by the mutual fund itself.
United States
27 Jun 2011
U.S. Financial Reform: Modifications to the U.S. Federal Reserve's Emergency Lending Authority
Among other things, the Act amends section 13(3) of the Federal Reserve Act, relating to the U.S. Federal Reserve's emergency lending authority, and requires a one-time audit of the Federal Reserve's loans and financial assistance provided during the period from December 1, 2007, through the date of enactment of the Act.
United States
30 Aug 2010
U.S. Financial Reform: Registration of Advisors to Private Investment Funds and Pools, and of Small Advisory Firms
The Dodd-Frank Wall Street Reform and Consumer Protection Act of 2010 ("the Act") begins sweeping reform for the U.S. financial system.
United States
30 Aug 2010
U.S. Senate Passes Massive Hedge Fund Managers Regulation Bill
The U.S. Senate has passed the Private Fund Investment Advisers Registration Act of 2010 (the "Senate Bill"), which, if enacted in its present form, may have a dramatic impact on anyone who advises or manages a hedge fund or other investment-related pool of capital.
United States
9 Jun 2010
SEC Starts Pension Fund Group To Prosecute For "Pay To Play"
On October 15, 2009, at the American Bar Association's Fourth Annual National Institute on Securities Fraud, David Rosenfeld, associate regional director for the Northeast Regional Office of the U.S. Securities and Exchange Commission (SEC), revealed that the SEC has established a nationwide Pension Fund Working Group to civilly and criminally prosecute pension fund managers, advisors, administrators and "the like" where "pay to play" contributions occur.
United States
25 Oct 2009
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