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SEC increases qualified client thresholds for performance fees

calendar_today July 30, 2026 person Rich Tallis domain confluence-unity

The SEC issued an Order (Release No. IA-6961) on April 28, 2026, increasing the qualified client thresholds under Rule 205-3 of the Advisers Act. These thresholds determine whether an SEC-registered investment adviser may charge performance-based fees.

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