You’ll hear expert panelists discuss: significant business and legal developments in the investment management area over the past year and important regulatory initiatives such as:
- The SEC’s regulatory agenda
- New money-market fund regulations
- New SEC staff guidance
- Potential new rulemakings relating to target date funds and exchange-traded funds
- Possible modifications of the fund reporting regime
- Governance matters of importance to fund independent directors and trustees
- The growing specter of systemic regulation
- The future of investment adviser oversight
- Mutual fund distribution, including the use of social media
- The challenges of global regulation for the fund industry
- Investment management compliance hot buttons
- Current issues of the day for alternative asset managers
- Recent investment management litigation and enforcement trends
- Developments in insurance products and services
- Ethics for the investment management practitioner
WilmerHale Partner Lori Martin will be a featured speaker on the panel “Enforcement and Litigation Trends.”