Insights & Regulatory Updates
Navigating the Complexities of Rule 13f-2 Compliance: Preparing for New Data Management Challenges
As the clock ticks down toward the January 2025 compliance deadline for SEC Rule 13f-2, institutional investment managers face an unprecedented regulatory challenge. This new rule, aimed at increasing transparency around short-selling activities, represents a significant shift from existing reporting frameworks, leaving firms grappling with how to overhaul their data management and reporting systems.