Journal of Investment Compliance: Volume 7 Issue 3
Table of contents
SEC releases new interpretive guidance on soft dollar arrangements
Stuart J. Kaswell, Alan Rosenblat, Michael L. ShermanTo describe and analyze in detail an Interpretive Release (the “2006 Interpretation”) approved on July 12, 2006 by the US Securities and Exchange Commission (“SEC”) regarding the…
New pension legislation will significantly change US pension and IRA investments
Richard A. Gilbert, Ian Lloyd Levin, Sarah DownieTo describe how the Pension Protection Act of 2006 (the “Pension Act”) will affect the investment of plan assets subject to the Employee Retirement Income Security Act of 1974…
USA Patriot Act: five years and counting, but still more work to be done
Alan E. SorcherTo summarize three implementing rules issued over the past year under the USA Patriot Act by the US Treasury Department Financial Crimes Enforcement Network (“FinCEN”) and to make…
Recent anti‐money laundering enforcement actions: lessons to be learned at others' expense
Satish M. KiniTo draw lessons learned from recent anti‐money laundering enforcement actions.
The evolution of the exchange‐traded fund: is active management on the horizon?
Michael R. Rosella, Domenick PuglieseTo discuss how product innovations in exchange‐traded funds (ETFs) have blurred the line between passive and active management, and to explore the legal ramifications of these…
The conflicting roles of the new New York Stock Exchange
George R. Kramer, Alan E. SorcherTo examine whether the New York Stock Exchange (NYSE) in its recent rule changes has provided the appropriate separation between its supervisory authority and the management of…
Why outsource the compliance function?
Tim DuckTo highlight some of the issues that small firms must address when deciding to avail themselves of the services of independent compliance consultants.
ISSN:
1528-5812e-ISSN:
1758-7476ISSN-L:
1528-5812Online date, start – end:
2000 – 2021Copyright Holder:
Emerald Publishing LimitedEditor:
- Henry A. Davis