Recently by Shawn T. Wooden
Investment Management Compliance Update: Placement Agents Under Fire
In early August, the Securities and Exchange Commission (the "SEC") issued a proposed rule that would prohibit an investment adviser, and certain of its executives and employees, from paying a third party, such as a solicitor or placement agent, to solicit a government client on behalf of the...
Read MoreAn Investment Lawyer With A Strong Grounding In Experience
Editor: You have been selected to head a multi-practice team appointed by the New York State Comptroller Thomas D. DiNapoli to assist the $122 billion New York State Common Retirement Fund (CRF) with a broad mandate, including reviewing all investments related to the "Pay to Play" scandal;...
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