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Index
Cover
Title
Copyright
Contents
Introduction
Section I: Regulations
1 SEC registration for private real estate advisers
Introduction
Are you an investment adviser?
What is a security?
Exclusions and exemptions
Private funds
State registration
Form ADV
Should you register as an investment adviser?
2 Form ADV Parts 1 and 2
Introduction
Preparing to file Form ADV – IARD entitlement
Registration thresholds
Part 1A of Form ADV
Part 2A of Form ADV
3 Marketing, advertising and fund solicitations for private real estate fund advisers
Introduction
The Advisers Act
Other US regulatory considerations
Conclusion
4 The EU AIFMD and its impact on private real estate fund managers outside the EU
Scope of the Directive
Timing
Marketing funds in the EEA
Reporting to investors in the EEA
Reporting to regulators in the EEA
Acquiring control of companies in the EEA
More extensive provisions applicable to EEA fund managers
Proposed future application of broader provisions to non-EEA fund managers
Conclusion
Checklist 1: Pre-investment information disclosures to investors (Article 23 of the AIFMD)
Checklist 2: Annual report of the AIF (Article 22 of the AIFMD)
Checklist 3: Other ongoing reporting obligations to investors (Article 23(4)(5) and Article 28(5) of the AIFMD)
Checklist 4: Other ongoing reporting obligations to regulators (Article 24 of the AIFMD)
Checklist 5: Additional disclosure obligations relating to controlled portfolio companies and acquiring participations in non-listed companies
5 Form PF: Private real estate fund impact assessment
Background
Overview of Form PF
Impact of Form PF on real estate fund advisers
Solution design
Conclusion
Appendix: Summary of Form PF requirements
6 Custody
Introduction
Definition of custody
The audited fund exception
Requirements when custody is present
Additional compliance considerations
7 Foreign Corrupt Practices Act
Introduction
The FCPA
Risks for private real estate funds
Suggested practices for private real estate funds
Conclusion
Section II: After registering and beyond
8 Setting up a compliance program
Introduction
Specific compliance issues
Code of ethics
Further topics
Recent enforcement actions
Appendix I: Compliance manual checklist
Appendix II: Code of ethics checklist
9 Identifying and managing conflicts of interest in private real estate funds
Introduction
Legal and regulatory requirements
Discussion of certain potential conflicts of interest
Conclusion
Appendix: Questionnaire for private real estate fund managers and sponsors to assist with identifying conflicts of interest
10 Compliance for multi-strategy private real estate firms
Introduction
Direct investments in real property
Private real estate debt
Public REITs
Collateralized mortgage-backed securities and collateralized mortgage obligations
Cross-strategy compliance issues
Conclusion
11 Creating and maintaining books and records
Introduction
Required books and records
Books and records that are not required
Form, storage and duration requirements
Recommended practices for a compliant regime
Electronic books and records
Emerging books and records issues
12 Selecting and managing service providers
Introduction
Considerations for selecting a service provider
Request for proposal
Evaluating a service provider
Managing the relationship
Conclusion
13 Valuation and pricing for private real estate
Introduction
Regulatory requirements and accounting standards
Valuation methodologies and considerations
Processes and controls
Conclusion
14 Limited partner advisory committees
Introduction
Composition
Member duties and indemnification
Responsibilities
Operational issues
Conclusion
15 SEC examinations of private real estate fund advisers
Introduction
Legal and regulatory requirements
Overview of SEC examinations
Areas of examination focus
Conclusion
About PEI
Back Cover
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