Please join us in Chicago for our 10th Annual Investment Management Regulatory University.
During this full-day program, we will explore investment management regulation and hear from leading Mayer Brown lawyers about the changing regulatory landscape as they provide practical, business-focused guidance on dealing with these challenges. This program will cover such areas as: hot topics in investment adviser regulation, ERISA, and other regulatory principles; examination and enforcement trends affecting investment advisers and other fiduciaries; trends and developments in products; and how to navigate compliance issues. The day concludes with an ethics program focused on issues relevant to investment advisers followed by a cocktail hour.
We look forward to open dialogues with our guests. As a result, this event is only open to clients and potential clients of Mayer Brown.
A detailed program agenda will be available shortly. Please register by April 25, 2016.
71 South Wacker Drive
Chicago, IL 60606
+1 312 782 0600
CLE credit is available for the full-day program, including an hour of ethics CLE (pending approval).
The program includes breakfast, lunch and the closing reception. There is no charge for this program.
For more information or to register, please contact Maureen Rogan at firstname.lastname@example.org or call 866 433 3303.