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Ogier Legal has acted as Guernsey legal adviser to Mid Europa in relation to the establishment of Mid Europa Fund IV, which closed at €800m.
Ogier Legal in Jersey has acted for Moorfield Real Estate Fund II and SEGRO.
The Prudential Insurance Company of America recently completed a large longevity risk transfer transaction, having reinsured longevity risk of the BT Pension Scheme.
Ogier Corporate Administration has received approval to its variation of regulatory permission application to act as a trustee or depositary of an AIF.
Ogier Legal has acted as Jersey legal adviser for Index Ventures in relation to the establishment of its latest fund, Index Ventures VII, which recently closed at €400m.
Luxembourg is one of the leading domiciles worldwide for international investment vehicles.
This briefing has been prepared for the assistance of investment managers primarily considering carrying on investment management from Guernsey.
Ogier Legal in Guernsey has advised X2 on the launch of its natural resources venture X2 Resources Partners LP, a Guernsey closed-ended investment vehicle.
Privy Council hands down judgment in claim against redeemed investors by liquidators of Fairfield Sentry
The Privy Council has handed down judgment in the claim brought by the liquidators of Fairfield Sentry against a number of redeemed investors.
The investment funds industry in Guernsey has achieved significant growth in recent years.
Ogier Fiduciary Services has announced the promotion of Charles Le Cornu to director. The firm has also welcomed new directors Simon King and Jon Barratt.
The appointment of a Financial Services Ombudsman in Jersey came a step closer on 1 April 2014 when the States of Jersey approved the Financial Services Ombudsman (Jersey) Law 201.
The AIFMD and the relevant Jersey-implementing legislation have been in force for more than six months.
This note summarises the attractions of the Cayman Islands for prime brokers wishing to establish a prime brokerage business outside their home jurisdictions.
The Authorised Collective Investment Schemes (Class B) Rules 2013 came into operation on 2 January 2014, replacing the Collective Investment Schemes (Class B) Rules 1990.
Ogier has compiled the most frequently asked questions regarding the Foreign Account Tax Compliance Act (FATCA) regulations.
This note provides a brief summary of Cayman Islands Monetary Authority’s Statement of Guidance for Regulated Funds — Corporate Governance.
Ogier has advised Infinity Cross Border Acquisition Corporation on the BVI legal aspects of its proposed business combination transaction with Glori Energy.
This briefing highlights the benefits of trust-based plans and illustrates the fact that plans can be tailored to meet specific employer or country requirements.
Shameer Jasani has been appointed as a partner in the Cayman Islands office while Ray Ng joins the BVI and Asia office as partner and head of litigation.