Investment Adviser Regulation: Overview | Practical Law

Investment Adviser Regulation: Overview | Practical Law

A Practice Note discussing the regulatory obligations of investment advisers under the Investment Advisers Act of 1940. These include the legal duties of investment advisers, the antifraud provisions applicable to advisers under the Advisers Act, and their ongoing compliance obligations.

Investment Adviser Regulation: Overview

Practical Law Practice Note Overview 1-610-6165 (Approx. 18 pages)

Investment Adviser Regulation: Overview

by Practical Law Corporate & Securities
MaintainedUSA (National/Federal)
A Practice Note discussing the regulatory obligations of investment advisers under the Investment Advisers Act of 1940. These include the legal duties of investment advisers, the antifraud provisions applicable to advisers under the Advisers Act, and their ongoing compliance obligations.