2022 Regulatory Headwinds: Potential Changes to Securities Laws and Regulations and the Impact on Private Fund Managers

February 24, 2022

Willkie recently collaborated with ACA Group to publish “2022 Regulatory Headwinds: Potential Changes to Securities Laws and Regulations and the Impact on Private Fund Managers,” a white paper focusing on the U.S. Securities and Exchange Commission’s proposed rulemakings that merit special attention for private fund managers.

Willkie counsel Benjamin Allensworth co-authored the white paper with Christi James, principal consultant at ACA Group.

The white paper covers:

  • Environmental, Social, and Governance (ESG) Rulemaking for Public Companies, Investment Advisers, and Investment Funds
  • Expanded Reporting Requirements for Investment Advisers
  • Enhanced Regulation of Private Funds
  • Implementation of the Investment Adviser Marketing Rule
  • Regulation of Digital Assets
  • Increased Regulation of Special Purpose Acquisition Companies (SPACs)

Read the full paper here.