AIMA

The Alternative Investment Management Association

Alternative Investment Management Association

You are:

Contact Kirk Taylor


Head Office

2nd Floor

167 Fleet Street

London, EC4A 2EA

United Kingdom

Tel +44 (0)20 7822 8380

Fax +44 (0)20 7822 8381


Branch Offices

Australia

50 Bridge Street

Level 34

Sydney, NSW 2000

Australia

Tel +61 (0)2 8216 0813

Canada

504-80 Richmond Street West

Toronto, Ontario

M5H 2A4

Canada

Tel +1 416 364 8420

Hong Kong

Room 502, 5/F

Parker House

72 Queens Road

Central, Hong Kong

Tel +852 2526 0211

New York

1271 Avenue of the Americas

Suite 4300

New York, NY 10020

USA

Tel +1 212 843 1870

Singapore

One Raffles Place

#27-03

Singapore

048616

Tel +65 6535 5494

 

Alternatively, please contact us using the following form:

Contact Us

 

Main Menu

  1. Home
  2. About
    1. Our Core Objectives
    2. Meet the team
    3. AIMA Council
    4. Global Network
    5. Sponsoring Members
    6. Global Partners
    7. FAQs
    8. Opportunities at AIMA
  3. Join AIMA
    1. Benefits of Membership
    2. Membership Fees
    3. Application form
  4. Members
    1. AIMA Annual Reports
    2. AIMA Governance
    3. AIMA Logo
      1. Policy note
    4. AIMA Members' List
    5. AIMA Review of the Year
    6. Committees and Working Groups
    7. Weekly News
    8. Update Profile
  5. Investors
    1. AIMA Investor Services
    2. AIMA Members' List
    3. Investor Steering Committee
    4. Update Profile
  6. Regulation
    1. Asset Management Regulation
      1. EU Asset Management Regulation
        1. AIFMD
        2. UCITS
          1. ETFs and Structured UCITS
        3. Venture Capital
        4. MiFID / MiFIR
      2. US Hedge Fund Adviser Regulations
        1. Registration and Reporting
        2. Incentive-Based Compensation
        3. JOBS Act
      3. Asia Pacific Asset Management regulation
      4. Other Jurisdictions’ Asset Management Regulation
      5. Regulation of NBFCs / SIFIS
      6. Supervision
        1. UK regulatory reform
        2. European Supervisory Authorities
        3. US Self-Regulatory Organisations
      7. Remuneration
        1. UK
        2. US
        3. CRD IV and CRR
        4. AIFMD
        5. MiFID
      8. Shadow Banking
      9. Volcker Rule
      10. Other
    2. Markets Regulation
      1. Bank/Capital Regulation
        1. Capital Requirements Directive
      2. Derivatives/Clearing
        1. EMIR
        2. MiFID / MiFIR
        3. MAD / MAR
        4. Dodd-Frank Act Title VII
        5. Hong Kong
        6. IOSCO
        7. Singapore
      3. High Frequency Trading
        1. ESMA Guidelines
        2. MiFID / MiFIR
        3. MAD / MAR
        4. Flash Crash
        5. IOSCO
        6. Germany
      4. Insurance Regulation
        1. Solvency II
      5. Market Abuse
        1. MAD / MAR
        2. Indices as Benchmarks
      6. Position Limits
        1. MiFID / MiFIR
        2. CFTC Position Limits
      7. Resolution of Financial Institutions
        1. CPSS-IOSCO
        2. Financial Stability Board
        3. Europe
        4. UK
        5. USA
      8. Short Selling
        1. EU Short Selling Regulation
        2. Hong Kong Short Selling Regulation
        3. US Short Selling Regulation
        4. Short Selling Bans
      9. Securities Settlement
      10. Trading
        1. MiFID / MiFIR
        2. Dodd-Frank Act
    3. Tax Affairs
      1. EU Savings Directive
      2. FAIFs and FINROFs
      3. FATCA
      4. FIN 48 and IAS 12
      5. Financial Transaction Tax
      6. Investment Manager Exemption
      7. UK Offshore Funds Regime
      8. Other
    4. Resources
      1. Noticeboard
        1. Bribery Act
        2. Client Assets Regime
        3. Conflicts of Interest - UK
        4. Dodd-Frank Act - Fund Manager Registration and Reporting
        5. Dodd-Frank Act - Swaps and OTC Derivatives
        6. Dodd-Frank Act - Volcker Rule
        7. EMIR - Regulation on OTC Derivatives, CCPs and Trade Repositories
        8. EU Directive on Alternative Investment Fund Managers
        9. EU Directive on Alternative Investment Fund Managers - Level II
        10. EU Short Selling Regulation
        11. FATCA
        12. FTT
        13. FSA Remuneration Code
        14. General
        15. MADII / MAR - Market Abuse Directive
        16. MiFIDII / MiFIR - Markets in Financial Instruments Directive
        17. Other Tax Issues
        18. Securities Law Directive
        19. Shadow Banking
        20. Singapore Asset Management Regime
        21. Solvency II
        22. Swiss Collective Investment Schemes Act
        23. UCITS and ETFs
        24. UK Stewardship Code
        25. US Short Selling Regime
      2. Guidance Notes
      3. Quarterly Regulatory Update
  7. Education
    1. AIMA Journal
    2. AIMA/KPMG reports on state of global hedge fund industry
    3. Roadmap to Hedge Funds
    4. Guides for institutional investment
    5. Industry-standard DDQs
    6. Sound Practices
    7. Industry Guides
    8. CAIA Designation
    9. Services to Start-up Managers
    10. Useful Websites
    11. Glossary
  8. Events
    1. AIMA Events
    2. Industry Events
  9. Media
    1. AIMA in the News
      1. Published articles
      2. Radio interviews
      3. Television interviews
    2. Press Releases & Statements
    3. Media Contacts
    4. Press Materials
 
  • CME Group
  • Deutsche Bank Global Prime Finance
  • Ernst & Young
  • Fauchier Partners
  • Man Investments
  • SEI
  • Simmons & Simmons