Stark & Stark’s Investment Adviser Regulation group is pleased to announce that the latest Investment Adviser Compliance Update has been published and is available for download. The Winter 2006 edition covers topics including: Required Rule 206(4) – 7 Annual Review SEC Amendment Requirement Branch Offices and Form BR Insurance Coverage for Hedge Fund Chief Compliance Officers You can download a copy of the latest Investment Adviser Compliance Upate here. Technorati Tags: : :