Documents
Briefs, oral arguments, agency decisions and the Federal Register.
679 results
0.45s
Pacific Select Fund, et al.: No
Agency decision · Agency decision
Scheidt Associate Director and Chief Counsel Division of Investment Management U.S. Securities and Exchange Commission 450 Fifth Street, N.W. … methodology for the calculation of the Return is as follows: the total return of each Portfolio is calculated for each month during the relevant 10-year period using the customary methods as specified in Rule 482
Securities and Exchange CommissionDivision of Investment Management
Agency decision · Agency decision
Pension Plans U.S. Individuals Sov. Wealth Funds And For. Official Inst. Insurance Companies Non-U.S. Individuals Broker-Dealers Unknown Non-U.S. Investors State/Muni. Govt. … Pension Plans U.S. Individuals Sov. Wealth Funds And For. Official Inst. Insurance Companies Non-U.S. Individuals Broker-Dealers Unknown Non-U.S. Investors State/Muni. Govt.
Securities and Exchange CommissionConcept Release on Harmonization of Securities Offering Exemptions
Federal Register · Proposed Rule · Jun 26, 2019
Table 4—U.S. … 422 See 2017 Forum Report. 423 See id.
84 FR 30460Securities and Exchange CommissionU.S. Securities and Exchange Commission
Agency decision · Agency decision
Non-Profits Non-U.S. Individuals State/Muni. Govt. Entities U.S. Individuals State/Muni. Govt. … Non-Profits Non-U.S. Individuals State/Muni. Govt. Entities U.S. Individuals State/Muni. Govt.
Securities and Exchange CommissionDivision of Investment Management
Agency decision · Agency decision
Pension Plans U.S. … Pension Plans U.S.
Securities and Exchange CommissionDivision of Investment Management
Agency decision · Agency decision
Entities Non-U.S. Individuals U.S. Individuals State/Muni. Govt. … Entities Non-U.S. Individuals U.S. Individuals State/Muni. Govt.
Securities and Exchange CommissionDivision of Investment Management
Agency decision · Agency decision
Non-Profits Non-U.S. Individuals State/Muni. Govt. Entities U.S. Individuals State/Muni. Govt. … Non-Profits Non-U.S. Individuals State/Muni. Govt. Entities U.S. Individuals State/Muni. Govt.
Securities and Exchange CommissionDivision of Investment Management
Agency decision · Agency decision
Non-U.S. Individuals Non-Profits State/Muni. Govt. Entities State/Muni. Govt. Pension Plans U.S. … Non-U.S. Individuals Non-Profits State/Muni. Govt. Entities State/Muni. Govt. Pension Plans U.S.
Securities and Exchange CommissionDivision of Investment Management
Agency decision · Agency decision
Entities Non-Profits Non-U.S. Individuals State/Muni. Govt. Pension Plans U.S. … Entities Non-Profits Non-U.S. Individuals State/Muni. Govt. Pension Plans U.S.
Securities and Exchange CommissionFederal Register · Rule · Nov 4, 2008
of the Securities Act of 1933 (the “Securities Act”) (referred to as “482 ads”) and sales literature under Section 24(b) of the Investment Company Act. 65 See amendments to paragraphs … the Investment Company Act (15 U.S.C. 80a-8, 80a-17, 80a-20, 80a-23(c), 80a-24(b), 80a-24(e), 80a-24(f), and 80a-29) and any application for an order under any section of the Investment Company Act (15 U.S
73 FR 65516Securities and Exchange CommissionFederal Register · Proposed Rule · Nov 9, 2007
610a. 51 Requiring electronic filing on EDGAR of Rule 607 sales literature would be consistent with the current requirement to file electronically on EDGAR omitting prospectuses under Rule 482 … the Investment Company Act (15 U.S.C. 80a-8, 80a-17, 80a-20, 80a-23(c), 80a-24(b), 80a-24(e), 80a-24(f), and 80a-29) and any application for an order under any section of the Investment Company Act (15 U.S
72 FR 63513Securities and Exchange CommissionDivision of Investment Management
Agency decision · Agency decision
Analytics Office Registered Fund Statistics Form N-PORT Data, period ending December 2023 May 17, 2024 This is a report of the Staff of the Division of Investment Management’s Analytics Office of the U.S … 457 133 158 111 82 82 43 38 11 13 9 7 7 7,615 Aug 2023 5,733 581 451 133 157 110 80 76 43 36 11 12 10 7 7 7,448 Sep 2023 5,483 585 437 131 156 108 77 77 41 35 12 16 11 8 6 7,182 Oct 2023 5,331 592 423
Securities and Exchange CommissionInvestment Company Swing Pricing
Federal Register · Rule · Nov 18, 2016
ET for most U.S. funds). … The figure for general bond funds does not include assets attributable to foreign bond funds (1.9%), U.S. corporate bond funds (0.8%), U.S. government bond funds (1.4%), and U.S. municipal bond funds (
81 FR 82084Securities and Exchange CommissionMisconduct and Fraud in Unregistered Offerings: An
Agency decision · Agency decision
According to the U.S. … The 382 frauds were obtained from the merger of IPO sample (3,297) and litigation sample of firms involved in accounting irregularities and subject to SEC actions (423) and private class action lawsuits
Securities and Exchange CommissionUNITED STATES COURT OF APPEALS
Agency decision · Agency decision
White, 484 U.S. 219, 224 (1988)). … Pachtman, 424 U.S. 409, 423 & n.20 (1976); see also Bradley v.
Securities and Exchange CommissionFederal Register · Notice · Aug 22, 2007
Bagley, 552 F.2d 482, 484-85 (2d Cir. 1977). 38 See CFTC v. U.S. Metals Depository Co., 468 F.Supp. 1149, 1154 (S.D.N.Y. 1979); and United States v.
72 FR 47097Securities and Exchange CommissionAmendments to the Accelerated Filer and Large Accelerated Filer Definitions
Federal Register · Proposed Rule · May 29, 2019
See U.S. … 482 Form 20-F 1 56 56 Form 40-F 1 1 1 3.
84 FR 24876Securities and Exchange CommissionRequest for Comments on Modernization of the Regulation of Public-Utility Holding Companies
Federal Register · Uncategorized Document · Nov 8, 1994
FPC, 411 U.S. 747, 758 (1973). … Manor Drug Stores, 421 U.S. 723, reh'g denied, 423 U.S. 884 (1975) (implied private right of action for securities fraud). ---------------------------------------------------------------------------
Securities and Exchange CommissionU.S. Securities and Exchange Commission
Agency decision · Agency decision
Pension Plans U.S. … Pension Plans U.S.
Securities and Exchange CommissionTemporary Rule Regarding Principal Trades With Certain Advisory Clients
Federal Register · Proposed Rule · Dec 6, 2010
Bessin, Assistant Director, at (202) 551-6787 or IArules@sec.gov, Office of Investment Adviser Regulation, Division of Investment Management, U.S. … Regarding Principal Trades with Certain Advisory Clients, Investment Advisers Act Release No. 2653 (Sep. 24, 2007) [72 FR 55022 (Sep. 28, 2007)] (“2007 Principal Trade Rule Release”). 2 482
75 FR 75650Securities and Exchange Commission
Ask Donna what matters in the record.
She can read the source against your case and show you exactly where the answer came from.