
Andris J. Vizbaras
Publications
Publications Available on this website
- CFTC Rescinds Widely Used Hedge Fund Exemption, Client Advisory, February 17, 2012
- SEC Enforcement and Exam Attention/Investment Adviser Use of Social Media, Client Advisory, February 9, 2012
- Form ADV Part 2, Client Advisory, September 27, 2010
- Senate Bill to Regulate OTC Derivatives Advances, Client Advisory, April 26, 2010
- Lehman bankruptcy court sets a September 22, 2009 bar date for all claims, issues new proof of claim form, and orders derivatives and guarantee creditors to file supplemental questionnaires by October 22, 2009, Client Advisory, July 13, 2009
- I.R.S. Suggests Foreign Bank Account Reporting Requirements May Apply to Interests in Offshore Hedge Funds, Client Advisory, June 25, 2009
- Administration Proposes Regulation of Over-The-Counter Derivatives, Client Advisory, May 18, 2009
- Madoff Securities Task Force Update: IRS Issues Helpful Guidance, Client Advisory, March 18, 2009
- Madoff Securities Task Force Update: March 4, 2009 Deadline, Client Advisory, January 8, 2009
- Madoff Securities Task Force, Client Advisory, December 30, 2008
- SEC Revises Cross-Border Business Combination Rules, Client Advisory, October 14, 2008
- SEC Amends Reporting and Disclosure Requirements for Foreign Private Issuers, Client Advisory, October 10, 2008
- Exemption from Registration for Foreign Private Issuers: SEC Amends Rule 12g3-2(b), Client Advisory, September 16, 2008
Additional Publications
- "The Patriot Act's Anti-Money Laundering Rules: What Private Funds and Investment Advisers Need to Know," Client Advisory, May 14, 2003
- "Hot IPOs: When the Fund Manager is Connected to Everybody, Hedge Fund News, February 2000
Education
- B.A., 1983 Washington University
- J.D., 1989 New York University School of Law