Private investment funds today face layers of regulation from regulatory bodies in different jurisdictions. Many of these regulators work in coordination with each other and, as a result, private funds may find themselves facing simultaneous inquiries, investigations or enforcement actions involving multiple regulators.

In a recent chapter, published in Private Equity International’s Private Fund Dispute Resolution, SRZ partner Harry S. Davis and associate Brian Burns offer a comprehensive outline of the U.K. and U.S. regulatory compliance and enforcement environment to which private investment funds are subject and discuss in detail the examination and enforcement process followed by regulators.

Click here to read the chapter.