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Hinckley, Allen & Snyder LLP Providence, RI Document Search Results (10) Sort by:  | SEC Revises Rules on Investment Adviser Performance Compensation Jacquelyn A. Mancini, Ashley M. Taylor; Hinckley, Allen & Snyder LLP;
Legal Alert/Article April 18, 2012, previously published on April 2012 The Securities and Exchange Commission (the "SEC") recently adopted amendments to Rule 205-3 under the Investment Advisers Act of 1940, as amended (the "Advisers Act"), as mandated by Section 418 of the Dodd- Frank Wall Street Reform and Consumer Protection Act (the...
|  | Final Summary of Benefits and Coverage Rules Impose Additional Requirements and Include Six-Month Compliance Delay Rebecca F. Alperin, Frederick P. McClure, Donna Niles, Tracy A. Vitols; Hinckley, Allen & Snyder LLP;
Legal Alert/Article March 9, 2012, previously published on March 2012 On February 9th, the Departments of Labor, Health and Human Services, and Treasury jointly issued final regulations to implement the summary of benefits and coverage ("SBC") requirement under federal health care reform. These final regulations impose additional requirements on employers...
|  | NYSE Narrows Broker Discretionary Voting Jacquelyn A. Mancini; Hinckley, Allen & Snyder LLP;
Legal Alert/Article February 29, 2012, previously published on February 2012 On January 25, 2012, the New York Stock Exchange LLC and the NYSE Amex Equities LLC (collectively, the "Exchange") published Information Memo 12-4, which guidance further restricts the ability of brokers to vote customer shares under NYSE Rule 452 without client instructions with respect...
|  | Department of Labor Issues Final Service Provider Fee Disclosure Regulations Rebecca F. Alperin, Frederick P. McClure, Donna Niles, Tracy A. Vitols; Hinckley, Allen & Snyder LLP;
Legal Alert/Article February 29, 2012, previously published on February 2012 Covered service providers that expect to receive $1,000 or more in compensation and provide certain fiduciary or registered investment advisory services, make available plan investment options in connection with brokerage or recordkeeping services, or otherwise receive indirect compensation for...
|  | SEC Adopts Reporting Obligations for Advisers to Private Funds Jacquelyn A. Mancini; Hinckley Allen Snyder LLP;
Legal Alert/Article January 4, 2012, previously published on December 2011 On October 26, 2011, the Securities and Exchange Commission (the "SEC") adopted new Rule 204(b)-1 under the Investment Advisers Act of 1940 (the "Advisers Act"). Rule 204(b)-1 requires SEC-registered advisers with at least $150 million in assets under management attributable to...
|  | 2012 Real Estate Tax Abatement Alert for New England Hinckley Allen Snyder LLP;
Legal Alert/Article November 30, 2011, previously published on November 2011 Tax abatement season is here. This Real Estate Alert summarizes some imminent filing deadlines in Rhode Island, Massachusetts, New Hampshire, and ConnecticTax abatement season is here. This Real Estate Alert summarizes some imminent filing deadlines in Rhode Island, Massachusetts, New Hampshire,...
|  | Bonus Depreciation Expanded and Extended For New Aircraft Purchasers Edward H. Kammerer; Hinckley, Allen & Snyder LLP;
Legal Alert/Article November 18, 2011, previously published on November 17, 2011 Tax law changes enacted in late 2010 include some good news for both recent and prospective aircraft buyers. Bonus Depreciation benefits have been expanded and extended. A significant portion of the new Bonus Depreciation benefits expire at the end of 2011, so swift action on the part of taxpayers...
|  | New Shareholder Proposal Rule Now Effective Jacquelyn A. Mancini; Hinckley, Allen & Snyder LLP;
Legal Alert/Article October 18, 2011, previously published on October 2011 On September 20, 2011, the Securities and Exchange Commission (the "SEC") published a notice in the Federal Register announcing that its previouslyadopted amendments to the shareholder proposal rule (Rule 14a-8 under the Securities Exchange Act of 1934) are now effective. The Rule 14a-8...
|  | SEC Files Notice of Intent to Approve Filing Fees for Exempt Reporting Advisers and Private Fund Advisers Ashley M. Taylor; Hinckley, Allen & Snyder LLP;
Legal Alert/Article October 18, 2011, previously published on October 2011 On September 30, 2011, the Securities and Exchange Commission (the "SEC") issued a notice of intent to approve the filing fees for exempt reporting advisers filing Form ADV and private fund advisers filing Form PF (the "Notice").
|  | Americans with Disabilities Act Update David D. Barricelli; Hinckley Allen Snyder LLP;
Legal Alert/Article October 10, 2011, previously published on September 2011 In response to recent Supreme Court cases narrowly interpreting the disability definition in the Americans with Disabilities Act (ADA), Congress passed the Americans with Disabilities Act Amendments Act of 2008 (ADAAA) to ensure that individuals with a wide range of disabilities and limitations...
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