In the evolving landscape of private fund management, firms are grappling with the complexities introduced by the U.S. Securities and Exchange Commission’s (SEC’s) Private Funds Adviser Rules. These new regulations, aimed at enhancing transparency and protecting investor interests, have prompted many firms to reevaluate their operational, reporting, and compliance practices.
To help understand this transition, we recently hosted a series of webcasts covering various aspects of the new regulations. During these sessions, a series of polling questions were conducted to help benchmark readiness and understand the specific pain points that firms are facing.
Download this infographic to benchmark where you are against your peers in your readiness for the upcoming rule implementation.
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