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Searching Content indexed under Fund Management/ REITs by Stroock & Stroock & Lavan LLP ordered by Published Date Descending.
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1
Opportunity Zones For Operating Businesses
How the Latest QOZ Proposals Affect Qualified Opportunity Zone Businesses.
United States
22 Aug 2019
2
Opportunity Zone REITs — A Path To The Retail Market?
Asset managers tend to continually evaluate their capital sources and often seek to expand their investor base.
United States
3 Apr 2019
3
Qualified Opportunity Zones: More Of Your Questions Answered
Earlier this month, we invited you to send us your Qualified Opportunity Zone questions in advance of a panel we hosted on the cutting-edge tax issues surrounding this new program ...
United States
30 Nov 2018
4
SEC Adopts Amendments To Regulation S-K To Simplify And Update Disclosure Requirements
On August 17, 2018, the Securities and Exchange Commission (the "SEC") issued a release (the "Adopting Release") describing the adoption of amendments to Regulation S-K ...
United States
12 Nov 2018
5
Qualified Opportunity Funds: Tax Strategies And Opportunities For Real Estate And Other Investors
The 2017 Tax Cuts and Jobs Act created a new incentive for investment in qualified low-income communities known as qualified opportunity zones ("QOZs").
United States
3 Sep 2018
6
"Proposed Revisions To The Volcker Rule's Implementing Rules – Select Proposals And Open Questions"
On May 30, 2018, the Board of Governors of the Federal Reserve System, together with the Commodity Futures Trading Commission, the Federal Deposit Insurance Corporation ...
United States
16 Jul 2018
7
Tax Reform: Now It's The Senate's Turn
On November 9, 2017, the Senate Republicans released their version of the sweeping tax reform plan. Although the Senate Plan has many proposals that are similar to those in the House Bill...
United States
13 Nov 2017
8
How Open-End Funds Can Utilize Swing Pricing
The U.S. Securities and Exchange Commission has now codified a new mechanism to deal with the risk of dilution in the value of mutual fund shares caused by ordinary purchase and redemption activities.
United States
16 Feb 2017
9
"Investment Management And Related Practices: Compendium Of Articles Published In 2016"
Throughout 2016, Stroock's Investment Management practice and our related interdisciplinary practice areas published several articles of interest to industry participants.
United States
26 Jan 2017
10
SEC To Permit "Swing Pricing" For Open-End Funds
The Securities and Exchange Commission has now codified a new mechanism to deal with the risk of dilution in the value of mutual fund shares caused by ordinary purchase and redemption activities.
United States
23 Jan 2017
11
Federal Reserve Board Announces Procedure For Banking Entities To Qualify For Extension To Conform Investments In "Illiquid Funds"
Importantly, to qualify for the extension announced by the Board, a banking entity must submit all required materials by no later than Saturday, January 21, 2017.
United States
23 Jan 2017
12
SEC To Permit "Swing Pricing" For Open-End Funds
The Securities and Exchange Commission (the "SEC") has now codified a new mechanism to deal with the risk of dilution in the value of mutual fund shares caused by ordinary purchase and redemption activities.
Worldwide
23 Jan 2017
13
Guidance On Annual Affirmation Requirements for Persons Operating under Exemptions from CPO and CTA Registration
On December 1, 2016, the National Futures Association (NFA) issued a Notice to Members (the "Notice") to provide guidance on the annual affirmation requirements that apply to each "commodity pool operator" (CPO) and "commodity trading adviser" (CTA)
United States
12 Dec 2016
14
SEC Issues Final Rules On Liquidity Risk Management, Reporting Modernization And Swing Pricing
The form must be filed with the SEC no later than 75 days after a fund's fiscal year end and will be publicly available upon filing.
United States
19 Oct 2016
15
IRS Issues New "No Rule" Area And Related Proposed Regulations: Potential Implications For Regulated Investment Companies
On September 27, 2016, the Internal Revenue Service (the "IRS") issued proposed regulations under Section 851 of the Internal Revenue Code of 1986.
United States
6 Oct 2016
16
SEC Focuses On Business Continuity And Transition Plans: Implications For Registered Investment Advisers And Funds And Their Critical Service Providers
The SEC recently proposed new Rule 206(4)-4 under the Investment Advisers Act of 1940, which would require registered investment advisers to adopt and implement business continuity and transition plans.
United States
9 Sep 2016
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