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8422 result(s) for
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Mar 27, 2018
New limits impacting tax planning include deductions for interest limited to 30% of income before interest, taxes and depreciation and real Estate companies can elect out by lengthening depreciation for assets.
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Mar 27, 2018
Real Estate professionals can still deduct losses against income and losses now being limited to $500,000 per year are downsides to the Tax Act. If you're a real estate professional you get to deduct your losses against any other types of income.
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Mar 27, 2018
What's on the Real Estate horizon due to the Tax Act? Transactions with REITs will be much more popular, as well as CAP A deductions, investment expense deductions and depreciation as a result of the tax act.
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Mar 27, 2018
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What U.S. Fund Managers Need to Know About the EU’s AIFMD II
Aug 22, 2024
TaNeka Ray speaks with Jean Thomas Pradillon and Nicolas Fermaud, Partners at Lexingburg Law Firm Elvinger U.S. to discuss the changes to AIFMD II and the impact to U.S. private fund managers.
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New Private Fund Adviser Rules: Prepare for Fee and Expense Reporting
Nov 6, 2023
Learn best practices to avoid common mistakes that investment advisors make when allocating fees and expenses to private funds with EisnerAmper Compliance Desk as we interview Louis Bruno, partner in the Regulatory Compliance Solutions Group, and Jeff Stomski, partner in the Financial Services Group.
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Jul 10, 2024
This first part covers best practices for fairness or valuation opinions in adviser-led secondaries.
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Sep 12, 2024
Registered investment advisers who were subject to the Quarterly Statement Rule promulgated under the Private Fund Adviser Rules (“PFAR”) are now no longer required to comply with the requirements. Recently, the United States Court of Appeals for the Fifth Circuit (“Fifth Circuit”) vacated PFAR in its entirety thus alleviating advisers of the onerous compliance obligations. While PFAR is no longer in effect, advisers should keep in mind that the Securities and Exchange Commission will continue to focus on reviewing fees and expenses in examinations and enforcement actions. Therefore, advisers should consider establishing and improving processes to better identify and categorize fees and expenses. In this third part of the three-part video series on “Private Fund Adviser Rules: Best Practices,” TaNeka Ray, Senior Manager for EisnerAmper’s Regulatory Risk & Compliance Solutions discusses identifying expenses and creating an expense taxonomy.
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SEC Examination Priorities for 2025
Dec 6, 2024
Learn about the SEC’s 2025 Examination Priorities for Investment Advisers in this quick video update from TaNeka Ray with EisnerAmper Compliance Desk. TaNeka provides a brief explanation of the three major focus areas: fiduciary duty, advisers’ compliance programs and advisers to private funds. This video series covers SEC regulatory and compliance insights to help you navigate a changing regulatory landscape.
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Private Fund Adviser Rules: Best Practices | Part 2 - Fund Audits
Jul 22, 2024
In this second part EisnerAmper team discusse the SEC audit requirements established by the Custody Rule. she also provides a list of best practices for investment advisers to follow while preparing for or undergoing an annual audit.
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SEC 2024 Examination Priorities
Jan 23, 2024
Learn about the SEC’s 2024 Examination Priorities in this quick video update from TaNeka Ray with EisnerAmper Compliance Desk.
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SEC Dealer Rule and FINRA Registration: What to Know
Mar 7, 2024
Understand whether the SEC’s recently adopted Dealer Rules impact you by watching this brief video featuring TaNeka Ray from EisnerAmper Compliance Desk.
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Exporting Legally: Uncovering Hidden Legal Risks
Feb 17, 2025
Join Travis Epp, Growth Leader for EisnerAmper's Manufacturing and Distribution Group, and Deanna Clark, Managing Attorney and founder of the Clark-Esposito Law Firm, P.C., as they explore the hidden legal risks associated with exporting. Learn about export controls, the consequences of non-compliance, and the free resources available to exporters. Discover the unique advantages a law firm can provide to companies seeking to successfully enter new markets. This video is a must-watch for any business involved in or considering exporting.
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Identifying & Disclosing Conflicts of Interests
Aug 19, 2024
TaNeka Ray speaks with Mark Shaffer, Partner at Tannenbaum Helpern Syracuse & Hirschtritt LLP to discuss how to identify and disclose conflicts of interest.
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Amendments to Form PF: Best Practices for Private Funds to Implement
Aug 5, 2024
On May 3, 2023, the SEC adopted amendments to enhance private fund reporting. As amended, Form PF, the confidential reporting form filed by registered investment advisors to private funds, will now require large hedge fund and private equity fund advisers to file reports upon the occurrence of certain reporting events in an abbreviated timeframe. In the past year, the SEC has adopted two additional amendments to Form PF. In this interview, TaNeka Ray, Senior Manager for EisnerAmper’s Regulatory Risk & Compliance Solutions speaks with Cathal Connolly, Global Head of Regulatory Solutions at AQMetrics on Form PF and some of the notable changes it imposes on private fund advisors.
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A Look at SEC Examination Priorities: Information Security & Crypto and Financial Technology
Aug 8, 2023
Hear EisnerAmper Compliance Desk share insights about the SEC’s examination priority for information security and crypto and financial technology. This video series covers SEC regulatory and compliance insights to help you navigate a changing regulatory landscape.
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A Look at SEC Examination Priorities: Amended Marketing Rule & RIAs to Private Funds
Jun 16, 2023
Learn what the SEC might look for regarding the Amended Marketing Rule so you can prioritize your compliance program and better prepare for a possible SEC examination.
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A Look at SEC Examination Priorities: Standards of Conduct and ESG
Jul 10, 2023
This video series covers SEC regulatory and compliance insights to help you navigate a changing regulatory landscape.
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Navigating the Industrial Market During a Triple Threat
Jul 16, 2023
Learn about commercial real estate’s industrial market and also how industrial investors, owners, and users can benefit from the current market, and why Texas specifically might be well-positioned to handle an economy that is in flux.
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IPO Case Study: S-1 Filing and Key Documentation
Mar 25, 2025
In this case study video, Eil Silverman breaks down the challenges a life sciences company faced while preparing for its IPO and how expert guidance helped navigate the process.