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Prohibition of Fraud by Advisers to Certain Pooled Investment Vehicles

SEC · final-rule · Published 2007-08-09 · Effective 2007-09-10 · 72 FR 44756

Document

Document number
E7-15531
Federal Register citation
72 FR 44756
CFR reference
17 CFR 275
Type
Rule
Action
Final rule.
Category
final-rule
Agency
US Securities and Exchange Commission
Publication date
2007-08-09
Effective date
2007-09-10
Docket
Release No. IA-2628

Abstract

The Securities and Exchange Commission is adopting a new rule that prohibits advisers to pooled investment vehicles from making false or misleading statements to, or otherwise defrauding, investors or prospective investors in those pooled vehicles. This rule is designed to clarify, in light of a recent court opinion, the Commission's ability to bring enforcement actions under the Investment Advisers Act of 1940 against investment advisers who defraud investors or prospective investors in a hedge fund or other pooled investment vehicle.

Source

Authoritative
Federal Register document
Machine
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