January 27, 2023 Seward & Kissel attorneys co-authored a chapter for the ICLG – ESG Law 2023 titled “U.S. Legal and Compliance Issues Relating to ESG for Private Fund Advisers” January 20, 2023 DOL Publishes Final Rule Regarding ESG Investing and Proxy Voting November 9, 2022 SEC Adopts Executive Compensation Clawback Rules July 29, 2022 DOL Proposes an Amendment to the QPAM Exemption March 31, 2022 Seward & Kissel attorneys featured in a Hedge Fund Law Report article titled, “Compliance Issues Associated With Advisers’ Integration of ESG Criteria” March 28, 2022 DOL Amends Six Class Exemptions to Eliminate References to Credit Ratings March 14, 2022 The DOL Cautions Extreme Care When ERISA Fiduciaries Consider Offering Cryptocurrency as a 401(k) Plan Investment Option January 6, 2022 ICLG – ESG Law 2022: “U.S. Legal and Compliance Issues Relating to ESG for Private Fund Advisers” November 11, 2021 DOL Fiduciary Rule Covering IRA Rollovers November 9, 2021 DOL Proposes a Regulation Regarding ESG Investing and Proxy Voting September 1, 2021 Seward & Kissel LLP – ERISA Guidebook (Fall-Winter 2021) July 1, 2021 Delaware Bankruptcy Court Limits Recovery of Indenture Trustee’s Attorney’s Fees in Tribune Case May 12, 2021 2020 Highlights from the Global Bank and Institutional Finance & Restructuring Group March 16, 2021 DOL Provides Enforcement Policy Statement Regarding The Recent Final Regulations on ESG Investments and Proxy Voting March 2, 2021 ESG Spotlight (Ep. 2): ESG for Asset Managers: Current State of Affairs & Predictions Under the Current (Biden) Administration Load more