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OverviewGuides you effortlessly through the maze of federal and state statutory investment adviser regulations. Steer clear of SEC problems with this easy-to-use guide to the laws and regulations governing investment advisers. Investment Adviser Regulation explains in clear, understandable language the regulation of investment advisers, offering complete guidance on the federal and state laws governing adviser conduct with particular attention to the Investment Advisers Act, the Investment Company Act, and the Employee Retirement Income Security Act (ERISA). In addition to a clear explanation of the law, Investment Adviser Regulation provides in-depth analysis of complex status questions that determine crucial registration, disclosure and liability issues; a detailed explanation of Form ADV; potential conflicts of interest; relevant SEC releases and no-action letters; and much more. Full Product DetailsAuthor: Clifford E. KirschPublisher: Practising Law Institute Imprint: Practising Law Institute Edition: 2nd Revised edition ISBN: 9781402407710ISBN 10: 1402407718 Pages: 1285 Publication Date: 01 August 2006 Audience: Professional and scholarly , Professional & Vocational Format: Undefined Publisher's Status: Unknown Availability: Out of stock ![]() Table of ContentsReviewsAuthor InformationTab Content 6Author Website:Countries AvailableAll regions |