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Richard S. Heller
Partner
Richard.Heller@ThompsonHine.com
Direct 212.908.3907
Office 212.344.5680
Fax 212.344.6101
335 Madison Avenue
12th Floor
New York, New York 10017-4611
vcard
More Details
Biography
Events
08/03/2011
Hedge Funds: Capital Introduction After Dodd-Frank
10/05/2009
Capitol Hill Symposium on U.S. Hedge Fund Industry Regulation
04/14/2009
Teleseminar: Pursuing Distressed Investing Opportunities
10/12/2007
Navigating a Hedge Fund in These Volatile Times - 2007
05/17/2007
Seminar: Fiduciary Landmines in Organizing and Operating Hedge Funds
05/04/2007
Thompson Hine Sponsors Roundtable Event, “Hedge Funds: Rewarding Risk”
08/21/2006
Fiduciary Landmines in Organizing and Operating Hedge Funds
In the News
07/17/2009
My Life in Hedge Funds
07/10/2009
Putting Hedge Funds on a Tighter Leash
06/05/2009
Hedge Funds Face ERISA Compliance
02/02/2009
Funds, Investors Assess Operations in Madoff Wake
01/29/2009
Pursuit plans redemptions restructuring
11/21/2008
Hedge Fund Inquisitor
11/19/2008
Get Over the Hedge
07/21/2008
Richard Heller Defends Commodity Speculators on PBS
05/16/2008
A Summary of Sound Practices for Hedge Fund Managers
04/24/2008
Another Hedge Fund Acquisitions Wave
04/10/2008
Lawyer Named to Hedge Group Board
08/16/2007
Crisis? What Crisis?
07/23/2007
Heller Debates Hedge Fund Loss-Suits
01/16/2007
The End of Easy Money
Press Releases
02/23/2010
Thompson Hine Partner Re-Elected to Hedge Fund Association Board
04/30/2009
Thompson Hine Partner on Chicago Hedge Fund Symposium Panel
03/12/2008
Thompson Hine Partner Appointed to Hedge Fund Association Board
01/19/2007
Hedge Funds Face SEC Deadline for Soft Dollar Arrangements
01/12/2006
Two Securities Partners Join Thompson Hine 's New York Office
Publications
04/12/2012
Investment Management Update: The JOBS Act: Impact on Investment Funds
03/30/2012
Investment Management Update: CFTC Adopts Rule Amendments Affecting CPOs and CTAs
03/09/2012
Investment Management Update: SEC Amends Performance Fee Rule
11/15/2011
Investment Management Update: SEC Approves Form PF
09/16/2011
Investment Management Update: SEC Grants No-Action Relief From Pay-to-Play Recordkeeping Rules
07/13/2011
Investment Management Update: SEC Adopts New Rules and Amendments Under Dodd-Frank Act
06/06/2011
Investment Management Update: SEC Proposes to Disqualify Felons and Other “Bad Actors” from Rule 506 Offerings
05/19/2011
Investment Management Update: SEC Issues Notice Regarding Inflation Indexing of Performance Fee Rule
04/25/2011
Investment Management Update: SEC Likely to Delay Adviser Registration Provisions of Dodd-Frank Act
02/08/2011
Form ADV Part 2 Drafting Tip No. 3 : Disclosing Disciplinary History
02/07/2011
Investment Management Update: SEC Issues Report on Investment Adviser Examinations
01/04/2011
Investment Management Update: SEC Extends Compliance Dates for Adviser Brochure Supplements
12/20/2010
Form ADV Part 2 Drafting Tip No. 2 : Identifying Conflicts
12/15/2010
Investment Management Update: SEC Proposes New Rules and Form ADV Amendments Implementing the Investment Advisers Act Provision of the Dodd-Frank Act
12/02/2010
Investment Management Update: SEC Proposes Registration Exemptions for Advisers to Venture Capital Funds and Certain Private Funds and Foreign Advisers
11/29/2010
Form ADV Part 2 Drafting Tip No. 1: Getting Started
11/22/2010
Investment Management Update: DOL Proposes Update to Definition of Fiduciary to Include More Advisers
11/10/2010
Investment Management Update: FINRA Proposes Broker Disclosure Statement for Retail Investors
10/28/2010
Investment Management Update: Report Examines Money Market Reform
10/21/2010
Investment Management Update: SEC Proposes Rule Defining “Family Office” Exclusion Under Investment Advisers Act
08/11/2010
Investment Management Update: SEC Adopts Amendments to Form ADV Part 2
08/03/2010
Investment Management Update: SEC Proposes Rescinding Rule 12b-1 and Overhauling of Mutual Fund Distribution Fees
07/21/2010
Investment Management Update: SEC Adopts "Pay-to-Play" Rules for Investment Advisers
07/01/2010
Investment Management Update: Dodd-Frank Wall Street Reform and Consumer Protection Act—Regulation D Impact
03/25/2010
Investment Management Update: SEC Reviews Use of Derivatives by Investment Companies
03/23/2010
Investment Management Update: AML Policy Statement on Obtaining and Retaining Beneficial Ownership Information
01/28/2010
Investment Management Update: FINRA Releases Guidance on Blogs and Social Networking Web Sites
01/25/2010
Investment Management Update: Enhanced Governance and Risk Oversight Disclosure for Investment Companies
01/19/2010
Investment Management Update: SEC Adopts Amended Custody Rules for Investment Advisers
01/05/2010
Investment Management Update: SEC Adopts Rules Regarding Principal Trades with Certain Clients
11/11/2009
Investment Management Update: Proposed Amendments to E-Proxy Rules
09/29/2009
Investment Management Update: SEC Adopts Interim Final Temporary Rule Requiring Disclosure of Certain Money Market Fund Portfolio Holdings
08/03/2009
Investment Management Update: SEC Provides Guidance on "Ordinary Course of Business" Exception
07/24/2009
Obama Administration Proposes "Private Fund Investment Advisers Registration Act of 2009"
07/01/2009
Investment Management Update: SEC Proposes Changes to the Investment Adviser Act Custody Rule
06/22/2009
Investment Management Update: The Administration's Plan for Financial Regulatory Reform and Its Impact on Investment Companies, Investment Advisers and Broker-Dealers
06/19/2009
Investment Management Update: SEC Sanctions Adviser and Distributor for Improper Securities Valuation and Selective Information Disclosure
05/22/2009
Investment Management Update: SEC Enters Order Against Adviser Related to Proxy Voting
04/02/2009
Investment Management Update: Treasury Announces Second Extension of Temporary Guarantee Program for Money Market Funds
03/31/2009
Investment Management Update: FINRA Announces New Limited Representative – Investment Banking Registration Category
03/03/2009
Investment Management Update: Electronic Filing and Revision of Form D
02/16/2009
Investment Management Update: SEC Adopts Summary Prospectus and Related Amendments to Form N-1A
12/01/2008
Investment Management Update: Treasury Announces Extension of Temporary Guarantee Program for Money Market Funds
11/19/2008
Investment Management Update: SEC Changes Prospectus Summary Requirements
11/10/2008
Investment Management Update: Rule Amendments Require EDGAR Filing of Exemptive Applications
11/05/2008
Investment Management Update: FinCEN Withdraws Proposed Anti–Money Laundering Rules
10/23/2008
Investment Management Update - FTC Grants Six-Month Delay in Red Flag Rules
10/21/2008
Investment Management Update: SEC Adopts Interim Temporary Rule Requiring Short Sale Reporting
10/03/2008
Investment Management Update: SEC Extends Emergency Orders
10/02/2008
Investment Management Update: Treasury Announces Details of Temporary Guarantee Program for Money Market Funds
08/19/2008
Investment Management Update - July 2008 SEC
ComplianceAlert
08/14/2008
Investment Management Update - Investors May Face Higher Tax Bill Following IRS Ruling
08/05/2008
SEC Settles Action Against Fund for Violating Socially Responsible Investment Restrictions
07/24/2008
Investment Management Update - Clarification of Cash Solicitation Rule
05/30/2008
Seventh Circuit Rejects
Gartenberg
Standard in Adviser Fee Case and Fashions New Test
05/16/2008
The Reticent Nature of Hedge Funds vs. the Open, Public Process of Cases Under the U.S. Bankruptcy Code
04/25/2008
A Summary Of Sound Practices For Hedge Fund Managers
04/18/2008
SEC Proposes Revisions to Regulation S-P and Expansion of Customer Privacy Requirements
04/08/2008
SEC Re-Proposes Amendments to ADV Part 2 Form
03/24/2008
Court Says Fairness Opinions Are Not Insurance Policies
03/03/2008
Distressed Debt Update: A Big MAC
02/22/2008
Investment Management Update: Supreme Court Rejects Scheme Liability in Securities Fraud Case
11/19/2007
Investment Management Update: Pension Protection Act of 2006 - A Prohibited Transaction Exemption for Cross-Trades
10/02/2007
New Suitability Requirements for the Sale of Deferred Variable Annuities
09/14/2007
Use of Rule 22c-2 Information for Marketing Purposes
08/22/2007
Investment Management Update: NASD Permits Multiple Executive Officers for Annual Compliance Certifications
02/13/2007
Emerging Developments in Hedge Fund Law
12/07/2006
SEC Keeps Brokers In Line With New Soft Dollar Rules
11/06/2006
NYSE Proposes Amendment to Broker Voting Rule
11/01/2006
SEC Adopts Amendments to Mutual Fund Fee Rule, Extends Compliance Dates
10/27/2006
SEC Adopts Amendments to the Mutual Fund Redemption Fee Rule and Extends Compliance Dates
09/27/2006
SEC Adopts Amendments to Redemption Fee Rule and Extends Compliance Dates
09/21/2006
Soft Dollar Arrangements: SEC Issues New Interpretive Guidance
09/01/2006
New Prohibited Transaction Rules and ERISA Bond Requirements
08/28/2006
Investment Management Update: SEC Adopts Fund of Fund Rules
07/12/2006
SEC Guidance on Side Letters
06/19/2006
Investment Management Update: Update on Fund Governance Rules
06/14/2006
Recent NASD Releases, Rules and Amendments
04/12/2006
Investment Management - Hedge Funds & Private Equity Funds
04/01/2006
Investment Management Alert - Form LM-10 Deadline May 15, 2006
03/03/2006
Permanent Approval of NASD Rules on Bond Mutual Fund Volatility Ratings
02/06/2006
NASD Interpretive Material on Gifts and Business Entertainment
04/15/2005
Fund Compliance Programs: The Annual Review and Report