Search for: "AUSTIN INVESTMENT FUND LLC" Results 21 - 40 of 140
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21 Oct 2022, 4:00 am by Jim Sedor
Sidley Austin Reveals Work for Chinese Surveillance Firm Under Foreign Agents Law Reuters – Mike Scarcella | Published: 10/18/2022 The law firm Sidley Austin disclosed its lobbying work for the U.S. subsidiary of Chinese video surveillance company Hikvision under the Foreign Agents Registration Act, revealing about $7.4 million in fees since 2018. [read post]
12 Aug 2022, 6:51 am
Securities and Exchange Commission, on Thursday, August 11, 2022 Tags: CFTC, Disclosure, Form PF, Hedge funds, Institutional Investors, Private equity, Private funds, SEC, SEC rulemaking, Securities regulation [read post]
12 Aug 2022, 6:51 am
Securities and Exchange Commission, on Thursday, August 11, 2022 Tags: CFTC, Disclosure, Form PF, Hedge funds, Institutional Investors, Private equity, Private funds, SEC, SEC rulemaking, Securities regulation [read post]
8 Jul 2022, 6:29 am
Larcker (Stanford University), and Brian Tayan (Stanford University), on Thursday, July 7, 2022 Tags: Bankruptcy, Capital formation, Capital structure, Distressed companies, Hedge funds, Institutional Investors, IPOs, REITs The Proposed SEC Climate Disclosure Rule: A Comment from the Investment Company Institute Posted by Dorothy Donohue, Susan Olson, and Eric Pan, Investment Company Institute, on Thursday, July 7, 2022… [read post]
8 Jul 2022, 6:29 am
Larcker (Stanford University), and Brian Tayan (Stanford University), on Thursday, July 7, 2022 Tags: Bankruptcy, Capital formation, Capital structure, Distressed companies, Hedge funds, Institutional Investors, IPOs, REITs The Proposed SEC Climate Disclosure Rule: A Comment from the Investment Company Institute Posted by Dorothy Donohue, Susan Olson, and Eric Pan, Investment Company Institute, on Thursday, July 7, 2022… [read post]
10 Jun 2022, 11:26 am by Joanna Herzik
Then the scammer asked him to refund the additional funds. [read post]
20 May 2022, 4:00 am by Jim Sedor
While the FEC’s Office of General Counsel did not find any evidence that Boebert converted campaign funds to personal use, as the complaint had alleged, it did note the “round figure of 32,000 miles driven for campaign-related purposes suggests that the assessment is a general estimate rather than one found on the kind of contemporaneous log contemplated in the Commission’s regulations. [read post]
29 Apr 2022, 6:27 am
Miller (University of Iowa), on Tuesday, April 26, 2022 Tags: Boards of Directors, Corporate forms, Decision-making, ESG, Shareholder primacy, Shareholder value, Stakeholders SEC 2022 Examination Priorities Posted by Ranah Esmaili, Victoria Anglin, and Marie Fang, Sidley Austin LLP, on Tuesday, April 26, 2022 Tags: Broker discretionary voting, Compliance and disclosure… [read post]
29 Apr 2022, 6:27 am
Miller (University of Iowa), on Tuesday, April 26, 2022 Tags: Boards of Directors, Corporate forms, Decision-making, ESG, Shareholder primacy, Shareholder value, Stakeholders SEC 2022 Examination Priorities Posted by Ranah Esmaili, Victoria Anglin, and Marie Fang, Sidley Austin LLP, on Tuesday, April 26, 2022 Tags: Broker discretionary voting, Compliance and disclosure… [read post]
22 Apr 2022, 5:33 am
Pitt, Kalorama Partners, LLC, on Thursday, April 21, 2022 Tags: Comment letters, Institutional Investors, Investment advisers, Investor protection, Private equity, Private funds, SEC, SEC rulemaking, Securities regulation [read post]
22 Apr 2022, 5:33 am
Pitt, Kalorama Partners, LLC, on Thursday, April 21, 2022 Tags: Comment letters, Institutional Investors, Investment advisers, Investor protection, Private equity, Private funds, SEC, SEC rulemaking, Securities regulation [read post]
8 Apr 2022, 5:50 am
Social Contagion and the Survival of Diverse Investment Styles Posted by David Hirshleifer (USC), Andrew W. [read post]
8 Apr 2022, 5:50 am
Social Contagion and the Survival of Diverse Investment Styles Posted by David Hirshleifer (USC), Andrew W. [read post]
8 Apr 2022, 2:05 am by Editors
Regulatory Affairs, Managed Funds Association (Washington, DC) Corporate Counsel, LS Power (Saint Louis, MO) Sr. [read post]
1 Apr 2022, 6:01 am
What to Look For in the 2022 Proxy Season Posted by Blair Jones, Sarah Hartman, and Austin Vanbastelaer, Semler Brossy LLC, on Thursday, March 31, 2022 Tags: COVID-19, ESG, Executive Compensation, Human capital, Institutional Investors, Proxy advisors, Proxy season, Proxy voting, Say on pay, Shareholder voting The COVID-19 Pandemic’s Fleeting and Lasting Impact on Executive Compensation Posted by Mike Kesner, Linda… [read post]
RAK Investment Authority, Jackson considered the applicability of the Foreign Sovereign Immunities Act (FSIA) to RAKIA, a wealth and investment fund owned by one of the emirates within the United Arab Emirates. [read post]
18 Feb 2022, 6:01 am
Securities and Exchange Commission, on Friday, February 11, 2022 Tags: Beneficial owners, Disclosure, Institutional Investors, Schedule 13D, Schedule 13G, SEC, SEC rulemaking, Securities regulation SEC Proposes Cybersecurity Rules for Registered Investment Advisers and Funds Posted by John F. [read post]
7 Jan 2022, 5:52 am
Daniel, and Barbara Niederkofler, Akin Gump Strauss Hauer & Feld LLP, on Sunday, January 2, 2022 Tags: Institutional Investors, Investment advisers, Mutual funds, Private funds, SEC, SEC enforcement, Securities enforcement, Securities regulation Enron’s Contribution to the Vitality of Corporate Compliance Posted by Michael W. [read post]
10 Dec 2021, 4:59 am
Birdthistle (Chicago-Kent College of Law) and Quinn Curtis (University of Virginia), on Monday, December 6, 2021 Tags: Conflicts of interest, DOL, ERISA, Fiduciary rule, Institutional Investors, Investment advisers, Investor protection, Mutual funds, Prudence, Retirement plans, Securities regulation U.S. [read post]