Private Funds

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  • Legal Headwinds: Asia - Quarterly Report - Q3 2018 Eingeschränkter Zugriff

    Newsletter

    Veröffentlicht: 10 August 2018

    The Q2 2018 edition of Legal Headwinds focuses on key legal and regulatory developments relevant to financial institutions operating in China, Hong Kong and Singapore.

  • Autumn Legal Update 2018

    Konferenz

    Veranstaltungsdatum: 03 October 2018

    Join us on Wednesday 03 October 2018 or Thursday 04 October 2018 for our 14th Autumn Legal Update. The day offers you the opportunity to hear about a broad range of topical issues from lawyers across many disciplines.

  • Asset Management 2025

    Online-Lernen

    Veröffentlicht: 02 August 2018

    We’re partnering with Bloomberg to conduct a study into the outlook of the global asset management landscape. To gain exclusive access to these findings, before they are released, you just need to complete our survey.

  • Singapore: Amendments to the MAS’ Guidelines on Licensing, Registration and Conduct of Business for Fund Management Companies

    Artikel

    Veröffentlicht: 26 July 2018

    The Monetary Authority of Singapore issued revised Guidelines on Licensing, Registration and Conduct of Business for Fund Management Companies on 03 July 2018.

  • ESMA updates its guidance on AIFMD and the UCITS Directive

    Artikel

    Veröffentlicht: 24 July 2018

    On 23 July 2018, the European Securities and Markets Authority (ESMA) published updated versions of its Q&As, Application of the Alternative Investment Fund Managers Directive (AIFMD) and Application of the UCITS Directive. Both documents consider where supervisory responsibility lies when MiFID services are provided through a branch in a different Member State from that of alternative investment fund manager (AIFM) or UCITS Management Company (UCITS ManCo). The UCITS Q&As also provide guidance as to (a) whether netting/hedging arrangements can be taken into account when calculating issuer concentration limits and (b) a UCITS’s ability to invest in a collective investment undertaking with different investment strategies or investment restrictions.

  • Financial services: a Brexit update from the FCA's Nausicaa Delfas

    Artikel

    Veröffentlicht: 20 July 2018

    The FCA has published a speech delivered yesterday by Nausicaa Delfas, Executive Director of International at the FCA.

  • “Super-equivalence”: the Government’s proposed new approach to financial services after Brexit

    Blog Post

    Veröffentlicht: 16 July 2018

    A summary of the Government's proposed approach to financial services after Brexit.

  • UAE securities regulator to issue circular extending grace period for local promoters Eingeschränkter Zugriff

    Artikel

    Veröffentlicht: 12 July 2018

    The UAE Securities & Commodities Authority (the SCA), the securities sector financial services regulator in onshore UAE, recently issued a notice advising that the grace period given to local promoters of securities (including foreign mutual funds) to obtain a promoter’s licence from the SCA, expired on 28 June 2018. This article summarises the effect of the notice and potential next steps.

  • Implementation of the Anti-Tax Avoidance Directive in Luxembourg

    Artikel

    Veröffentlicht: 02 July 2018

    Luxembourg: Overview of the tax measures provided in draft law no. 7318 that would implement ATAD1 and other two tax measures aiming at reducing double non-taxation situations.

  • Breakfast Briefing Eingeschränkter Zugriff

    Seminar

    Veröffentlicht: 26 June 2018

    Vertrieb von Investmentfonds im Lichte der neuen Richtlinien- und Verordnungsentwürfe der EU-Kommission.

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