Practising Law Institute: Investment Management Institute 2014
- 3.7.2014 | 9:00 AM - 10:15 AM
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PLI
1177 Avenue of the Americas (2nd floor)
New York, New York 10036
During the PLI Investment Management Institute 2014, panelists will discuss significant business and legal developments in the investment management area over the past year and important regulatory initiatives such as including the SEC’s regulatory agenda, new regulations affecting money-market funds and the future of investment adviser oversight. The regulation of private fund managers, ethics for the investment management practitioner, and the continued focus on enforcement in the asset management area, will also be discussed, among many other topics.
WilmerHale Partner Lori Martin will be a featured speaker on a panel titled “Litigation Trends,” during which she will provide an update on Section 36(b) litigation, the aftermath of Janus Capital Group, trends in disclosure cases, and cases related to the use of sub-advisers.