Please join us in either Chicago or New York for our 13th Annual Investment Management Regulatory University.
During this 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 several in-depth panels, which will cover:
- Investment adviser and ERISA regulatory updates, including hot topics
- Enforcement trends affecting investment advisers and other fiduciaries
- A mock fund negotiation during which Mayer Brown lawyers, posing as fund investors and sponsors, will negotiate issues critically important to both sides
- Ethical issues relevant to investment advisers
For more information or to register, please contact Tiffany McCormick at firstname.lastname@example.org or call +1 312 701 8060.