Practising Law Institute presents a two-day program for attorneys in law firms, in-house counsel, private fund lawyers, compliance officers and others involved in current issues affected by the Investment Company Act of 1940, the Investment Advisers Act of 1940 and other relevant laws. At this event you will hear from current and former regulators, industry experts and practitioners about these regulatory developments, as well as about business topics such as developments of new financial products and services.Expert panelists will discuss significant business developments in the investment management area over the past year and important regulatory initiatives.
WilmerHale partner Lori Martin will moderate a panel on litigation and enforcement at this event.