Notice 4 Jun 2025 compliance, regulation, small business, investment, financial services

📉Capital Alignment Partners III License Surrender by SBA

The Small Business Administration has declared the investment license for Capital Alignment Partners III, L.P. null and void, as per authorities under the Small Business Investment Act. This action signifies a regulatory shift within the Small Business Investment Company landscape, potentially affecting current and future investment activities.

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Notice 4 Jun 2025 compliance, sec, regulations, investment, financial reporting, broker-dealers

📈SEC Proposed Rule 139b

The SEC is soliciting comments on the proposed extension of Rule 139b, which provides a safe harbor for broker-dealers publishing research reports on covered investment funds. It requires standardized performance disclosures aimed at reducing investor confusion. The process may elevate compliance costs for involved broker-dealers, impacting their operational practices.

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Notice 4 Jun 2025 regulation, investment, nasdaq, options trading, financial markets, etf, cryptocurrency

📈Proposed Rule Change for Options Trading on Hashdex ETF

The Securities and Exchange Commission announces a proposed rule change that would allow the Nasdaq ISE to list and trade options on the Hashdex Nasdaq Crypto Index US ETF. The change aims to provide investors with additional investment tools and is drafted to ensure compliance with existing market regulations while addressing potential manipulative behaviors in trading.

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Notice 3 Jun 2025 regulation, investment, nyse, cryptocurrency, digital assets

📈Proposed Rule Change for Grayscale Cardano Trust Listing

The SEC is considering a proposed rule change by NYSE Arca to list and trade shares of the Grayscale Cardano Trust (ADA). The document outlines the regulatory process, including request for public comment before the Commission makes a decision on the proposed listing, which may have implications for trading in cryptocurrency assets.

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Notice 3 Jun 2025 securities, investment, financial services, nasdaq, exchange commission, commodities

📈Nasdaq Rule Change Notice for Grayscale Avalanche Trust Shares

The Securities and Exchange Commission issued a notice regarding the Nasdaq's proposed rule change to list and trade shares of the Grayscale Avalanche Trust (AVAX). This notice indicates an extended period for Commission action, allowing for further consideration of the implications surrounding the trading of these commodity-based trust shares.

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Notice 2 Jun 2025 exchange, regulation, securities, investment, financial services, cryptocurrency, trust

📈SEC Proceeds with Rule Change for WisdomTree XRP Fund Shares

The SEC has initiated proceedings to determine whether to approve or disapprove the proposal for the WisdomTree XRP Fund's shares to be listed on the Cboe BZX Exchange. The investment objective of the Trust is to track XRP performance, consisting solely of XRP, cash, and cash equivalents. The SEC seeks public comment on this proposal, raising questions about compliance with existing regulations.

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Notice 30 May 2025 compliance, sec, finance, investment, sunshine act, meetings

🏛️SEC Sunshine Act Meeting Invitation for June 2025

The Securities and Exchange Commission will hold a public meeting on Sunshine Act provisions, inviting public comments on matters including non-GAAP financial measures and mandatory arbitration clauses. The meeting is scheduled for June 5, 2025, and will be accessible both in-person and via webcast. Public submissions are encouraged prior to the event.

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Proposed Rule 30 May 2025 regulation, transportation, investment, infrastructure, public lands, bridges, grant programs-transportation, highways and roads, federal highway administration, indian reservation roads

🛣️Proposed Rule to Rescind Indian Reservation Roads Management Regulations

FHWA proposes to rescind the regulations issued on February 27, 2004, Federal Lands Highway Program; Management Systems Pertaining to the Bureau of Indian Affairs and the Indian Reservation Roads Program.

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Notice 30 May 2025 regulation, securities, investment, financial services, co-investment, blackstone

💼SEC Notice for Blackstone’s Joint Transaction Application

The SEC has issued a notice regarding an application for an order that would allow certain business development companies and closed-end investment firms to co-invest in portfolio companies. This move aims to authorize joint transactions that are typically prohibited under current regulations, potentially expanding investment strategies available to applicants.

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Notice 30 May 2025 sec, investment, financial regulation, co-investment, business development companies

📈SEC Notice for Co-Investment Approval by Great Elm Capital Corp.

The SEC has issued a notice regarding an application from Great Elm Capital Corp. and affiliates seeking permission for certain joint investment transactions under the Investment Company Act of 1940. The application aims to allow business development companies to co-invest, enhancing operational flexibility in their investment strategies.

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