# Disclosure Regarding Portfolio Managers of Registered Management Investment Companies
> **US Securities and Exchange Commission** · Final rule; request for comments on Paperwork Reduction Act burden estimates. · Published 2004-08-27 · Effective 2004-10-01 · 69 FR 52788
## Document
- **Document number:** 04-19575
- **Category:** final-rule
- **Agency:** US Securities and Exchange Commission
- **Federal Register citation:** 69 FR 52788
- **CFR reference:** 17 CFR 239
- **Publication date:** 2004-08-27
- **Effective date:** 2004-10-01
- **Docket:** Release Nos. 33-8458
## Abstract

The Securities and Exchange Commission is adopting amendments to its forms under the Securities Act of 1933, the Securities Exchange Act of 1934, and the Investment Company Act of 1940 to improve the disclosure provided by registered management investment companies regarding their portfolio managers. The amendments extend the existing requirement that a registered management investment company provide basic information in its prospectus regarding its portfolio managers to include the members of management teams. The amendments also require a registered management investment company to disclose additional information about its portfolio managers, including other accounts that they manage, compensation structure, and ownership of securities in the investment company.

## Source
- [Federal Register document](https://www.federalregister.gov/documents/2004/08/27/04-19575/disclosure-regarding-portfolio-managers-of-registered-management-investment-companies)
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