Asset Management
Latest
1 to 10 of 488
-
Newsletter
Last Reviewed: 28 January 2012 / Submitted: 17 February 2012
Welcome to Simmons & Simmons' Oversight, our financial services newsletter from Hong Kong.
-
Newsletter
Submitted: 17 February 2012
The SFC issued the Guidelines to fund managers on dealing disclosure obligations under Rule 22 of the Takeovers Code (Guidelines) on 29 December 2011.
-
Article
Submitted: 14 February 2012
Überblick über die neuen Mitteilungs- und Veröffentlichungspflichten für Inhaber von Netto-Leerverkaufspositionen gemäß § 30i WpHG, die am 26. März 2012 in Kraft treten werden.
-
Article
Submitted: 14 February 2012
Overview of the new notification and disclosure obligations for holders of net short positions, coming into force on 26 March 2012.
-
Newsletter
Last Reviewed: 08 February 2012 / Submitted: 08 February 2012
Welcome to Simmons & Simmons' Financial Services Alerter, a monthly bulletin containing brief details of significant legal and regulatory developments of relevance to the fund management and investment banking communities. Although the primary focus of Financial Services Alerter is the UK, we also cover EU and other international developments of relevance to the UK. The information contained in Financial Services Alerter is based exclusively on publicly available sources.
-
Newsletter
Submitted: 08 February 2012
Issue 49 of this regular bulletin providing brief details of significant legal and regulatory developments of relevance to the fund management and investment banking communities.
-
Article
Submitted: 07 February 2012
Impact of the Consultation paper: ESMA’s guidelines on ETFs and other UCITS issues
-
Seminar
Submitted: 01 February 2012
The session focused on German developments, during which Frankfurt partners Jochen Kindermann and Harald Glander provided an overview of a number of recent and forthcoming regulatory changes, as well as an indication of their relevance to you and your business.
-
Newsletter
Last Reviewed: 28 January 2012 / Submitted: 28 January 2012
Asia’s two competing international financial centers – Hong Kong and Singapore, have traditionally taken different approaches to the further regulation of hedge fund managers.
-
Article
Submitted: 27 January 2012
The implications of the FSA's actions in particular in relation to the nature of inside information.
1 to 10 of 488