March 12, 2023 Bank Failure: Background and Issues to Consider 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 January 4, 2022 Memo to Clients 2023 – Annual Reminders October 21, 2022 ESG Spotlight (Ep. 10): Sustainability Data Reporting with Persefoni June 22, 2022 ESG Spotlight (Ep. 9): Impact Investment Firm, TriLinc Global June 7, 2022 SEC Proposes Rules Requiring Enhanced ESG Disclosure for Investment Advisers and Registered Funds May 31, 2022 SEC Settles with Institutional Investment Adviser for ESG Misstatements and Omissions May 16, 2022 ESG Spotlight (Ep. 8): SEC’s Proposed Climate Change Disclosure Regulations April 5, 2022 SEC Proposes Comprehensive Climate Change Disclosure Regulations 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 30, 2022 SEC Proposes Rule Amendments to Enhance and Standardize Climate-Related Disclosures February 4, 2022 Memo to Clients 2022 – Annual Reminders January 6, 2022 ICLG – ESG Law 2022: “U.S. Legal and Compliance Issues Relating to ESG for Private Fund Advisers” December 22, 2021 Financial Stability Oversight Council Releases Report on Climate-Related Financial Risk Load more