A New Series: The Fall of Legal and Compliance in the Private Fund Space

A decade ago, legal and compliance issues were the top operational-side priority for most private fund firms. Wide-ranging interviews with leading industry participants, surveys of COOs and other anecdotal evidence, however, suggests that may not be the case today. And it seems the U.S. Securities and Exchange Commission – with its recent risk alert and … Continue reading A New Series: The Fall of Legal and Compliance in the Private Fund Space