Public-Private (Crossover) Compliance
Hey guys,
A couple questions for those of you who are at /know someone at funds that invest in both public and private out of the same vehicle with the same investment staff.
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Could you describe the compliance infrastructure you have in place at a high level?
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What are the major burdens you as the analysts face?
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Any board seat situations involved? How are these navigated?
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Does this influence how quickly you trade?
Thanks in advance!
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