Please join us for our 5th Annual Investment Management Regulatory University which will be presented in New York on May 5 and Chicago on May 12. We will explore investment management regulation in the new environment and hear perspectives from leading firm lawyers about the rapidly changing regulatory landscape.

In the morning, we will focus on Advisers Act fundamentals and hot topics. In the afternoon, we will conduct a case study in which we discuss the application of Advisers Act, ERISA and other regulatory principles to advisory products including separate accounts, private funds and registered investment companies.

  • There is no charge for this conference.
  • The program includes lunch and a closing cocktail reception.
  • Approximately 6.5 CLE credit hours available for the conference (pending state approvals).

New York City
May 5, 2010
The Marriott Marquis
1535 Broadway
New York, NY, 10036
United States (Map)

May 12, 2010
Mayer Brown LLP Offices
71 South Wacker Drive
Chicago, IL, 60606
United States (Map)

Learn more and register >>

For more information, please contact: Maureen Rogan at or call +1 866 433 3303.

Learn more about our ERISA Fiduciary, Financial Services Regulatory & Enforcement, Investment Management, Private Equity, and Private Investment Fund practices.