Broker-Dealer Issues for Private Funds | Practical Law

Broker-Dealer Issues for Private Funds | Practical Law

This Practice Note discusses the broker-dealer registration issues relating to the marketing and sale of interests in private funds, the issuer exemption from registration under Exchange Act Rule 3a4-1, and the FINRA rules on marketing these interests through registered broker-dealers.

Broker-Dealer Issues for Private Funds

Practical Law Practice Note 2-600-3845 (Approx. 14 pages)

Broker-Dealer Issues for Private Funds

by Practical Law Corporate & Securities
MaintainedUSA (National/Federal)
This Practice Note discusses the broker-dealer registration issues relating to the marketing and sale of interests in private funds, the issuer exemption from registration under Exchange Act Rule 3a4-1, and the FINRA rules on marketing these interests through registered broker-dealers.