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Investment advisers registered with the U.S. Securities and Exchange Commission ("SEC") or with a state ("Advisers"), as well as commodity pool operators ("CPOs") and commodity trading advisors ("CTAs") registered with the U.S. Commodity Futures Trading Commission ("CFTC"), are subject to important annual compliance obligations. This summary sets forth the primary obligations of which your firm should be aware. This summary should not be considered an exhaustive list of your firm’s obligations under the broader federal securities laws, tax laws or applicable state, local or foreign laws. State-registered Advisers may vary from SEC obligations and clients should feel free to contact us for more information.

Click here for a summary that addresses the following:

  • Annual Compliance Deadlines for Advisers
  • Obligations for Private Fund Advisers
  • Obligations for CTAs
  • Obligations for CPOs
  • Tax and Treasury Filings



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Joseph M. Mannon

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