Investment Advisers: Law & Compliance

ebook Volume 1 · Investment Advisers: Law & Compliance (1)

By James E. Anderson

cover image of Investment Advisers: Law & Compliance

Sign up to save your library

With an OverDrive account, you can save your favorite libraries for at-a-glance information about availability. Find out more about OverDrive accounts.

   Not today
Libby_app_icon.svg

Find this title in Libby, the library reading app by OverDrive.

app-store-button-en.svg play-store-badge-en.svg
LibbyDevices.png

Search for a digital library with this title

Title found at these libraries:

Loading...

A clear compliance and practice guide that explains and interprets the Investment Advisers Act plus the entire SEC (Securities Exchange Commission) angle of intricate rulemaking, interpretive releases, and enforcement actions aimed at filling its gaps.

Written especially for practitioners, Investment Advisers: Law & Compliance covers:

  • Who is an "investment adviser" and subject to the Act - and who is not covered
  • Registration procedures for investment advisers, including a detailed review of Form ADV
  • What advisers are allowed to say - and what they must say - to current and prospective clients
  • How the Act regulates solicitation and referral arrangements, advertising, and Internet activities
  • Full text of the 1940 Act and Rules promulgated thereunder

    Two volumes; updated with revisions.

  • Investment Advisers: Law & Compliance