Our 15th Annual Investment Management Regulatory University—held as a series of webinars this year—launched with a discussion of regulatory hot topics. Mayer Brown partners Stephanie Monaco, Tim Clark, Erin Cho and Christina Thomas discussed:
- Investment Advisers Act Update—Glimpses of New Marketing Rule and Division of Examinations Risk and Guidance
- Private Funds Update—Current Deal Allocation and Disclosure Issues
- Federal Securities Laws Update—SEC Initiatives on ESG, Including Enforcement and Names Rule
- US Department of Labor (DOL) Update—Broker-Dealer Compliance with PTE 2020-02, DOL Guidance on Cybersecurity and Views on ESG
Please visit 15th Annual Investment Management Regulatory University for presentation materials and related articles to our webinar series. To view a recording of the webinar, please contact Franceska Anderson-Vargas at firstname.lastname@example.org or +1 312 701 7795.