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Litigation Attorneys Analyze Implications of Form13F Settlement With the SEC
October 15, 2024
BOSTON, Massachusetts, Oct. 15 -- Ropes and Gray, a law firm, issued the following news:

On September 17, the Securities and Exchange Commission ("SEC") announced a settlement of charges against 11 institutional investment managers for failing to file Forms 13F as mandated by Section 13(f) of the Securities Exchange Act.

In an article for Law360, litigation & enforcement partners Dan O'Connor and Bil Davison, and associates Cole Goodman and Brooke Cohen, a . . .

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