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Hedge Fund Inspection
Program
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Review of all
correspondence with investors and any marketing materials
(including performance) used to solicit investors |
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Compliance with
suitability requirements |
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Compliance with
registration exemptions under the Securities Act of 1933
(including Regulation D), the Advisers Act, and the
Investment Company Act of 1940) |
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Review of side letters |
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Compliance with
Section 12(d)(1) of the Investment Company Act |
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Compliance with
regulatory reporting requirements (e.g. 13D, 13G, 13F, Hart
Scott Rodino, Forms 3,4 and 5 of Section 16, as applicable) |
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Other areas that
may be considered high risk based upon the client’s
particular fund strategies and business model. |
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