Topics covered in this issue include:

  • SEC Outlines 2015 Compliance Focus as Cybersecurity Continues to Gain Prominence 
  • Proposed FinCEN Regulations Extend Anti-money Laundering Requirements to Certain Private Funds Advisers
  • New IRS Ruling Guidance May Cast Doubt on Some Tax-free Spinoffs 
  • CFTC Proposes Changes to Reporting Obligations for Cleared Swaps 
  • Dividend Equivalent Payments - Final and Temporary Regulations Issued

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