Please join us in either Chicago or New York for our 12th Annual Investment Management Regulatory University.
During this half-day program, leading Mayer Brown lawyers will explore investment management regulation and provide practical, business-focused guidance on dealing with the challenges of the changing regulatory landscape. This year, we will conduct two in-depth panels, which will cover:
- Investment adviser and ERISA regulatory updates, including hot topics
- Enforcement trends affecting investment advisers and other fiduciaries
We look forward to open dialogues with our guests.
A detailed program agenda will be available shortly.
CLE credit is available for the program (pending approval).
For more information or to register, please contact Maureen Rogan at firstname.lastname@example.org or call +1 312 701 8370.