Compliance

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Cyber risk, an increasingly active OCIE and hyped up unicorn valuations are among the biggest regulatory and litigation risks facing private funds this year, say lawyers from Proskauer.
The firm elevated Jon Gray to president and named two New York-based co-heads to take his place.
While many GPs hope passive marketing will be a backdoor entrance into Europe, industry legal advisors are still interpreting the concept in a post-AIFMD era.
Ahmed Badreldin, former head of MENA for The Abraaj Group, writes for PEI about his thoughts for LPs on fund due diligence lessons and investor safeguards.
Internal rate of return calculations are facing renewed scrutiny by the Securities and Exchange Commission, following the regulator’s subpoena of Apollo Global Management over its disclosure of IRR calculations in May. What are the key features of compliant IRR reporting?
John Finlay, Blackstone
The firm’s chief legal officer John Finley talks SEC settlements and artificial intelligence.
The Securities and Exchange Commission generally gives firms two weeks’ notice ahead of an exam, but they are beginning to knock on the door much sooner. How can your firm make sure it is ready for inspection?
Daniel Patracuolla of Duff & Phelps examines the valuation issues pertaining to distressed debt investing. An excerpt from PEI Media’s new book: The Definitive Guide to Distressed Debt and Turnaround Investing: A comprehensive resource for making, managing and exiting investments in distressed companies and their securities.
Michael Chae, a deal guy who moved into management, on corporate finance and the three layers of the CFO role.
Panoramic view of the United States Capitol and waving american flag in Washington DC
Disclosures and valuation practices top the Securities and Exchange Commission’s watch list, as we learned at sister title PERE's CFOs and COOs event.
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