On May 5, 2023, the SEC filed a civil complaint in the U.S. District Court for the Northern District of New York against a mutual fund’s adviser for aiding and abetting violations of Rule 22e-4 (the “Liquidity Rule”) by the mutual fund it advised (the “Fund”) and whose Liquidity Risk Management Program (“LRMP”) it administered.
USA, Capital Markets, Insolvency & Restructuring, Ropes & Gray LLP, Liquidity risk, Internal Revenue Service (USA), US Securities and Exchange Commission, Internal Revenue Code (USA)
I. Introduction
Complex restructurings are no stranger to colorful facts and unpredictable twists and turns. But few lead to criminal charges. Fewer still involve criminal charges against the chairman of the unsecured creditors’ committee, alleging that he abused his position to benefit himself financially.
USA, Insolvency & Restructuring, Litigation, Ropes & Gray LLP, Bribery, Hedge funds, US Securities and Exchange Commission