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Please join us in New York for our Investment Management Regulatory University.

During this program, leading Mayer Brown lawyers will explore the latest developments in investment management regulation and enforcement, and provide business-focused guidance on dealing with the evolving regulatory environment.

This year, we will conduct several in-depth panels, which will cover:

  • SEC priorities, the current regulatory environment, ERISA and tax developments, and compliance areas of focus
  • Innovative fund product solutions benefitting insurance and other clients, how they operate and their potential pitfalls
  • New AML requirements, updated marketing rule and securities offering guidance from the SEC, and private fund transaction trends
  • SEC Enforcement Division staffing and structural changes, the SEC under Atkins, and possible upcoming enforcement themes

CLE is pending, and this event will be in-person only (and not recorded).

Wednesday, May 7, 2025
12:00 p.m. – 12:45 p.m. Registration/Lunch
12:45 p.m. – 5:00 p.m. Program
Cocktail Reception to follow.

Location
Mayer Brown
1221 Avenue of the Americas
New York, NY 10020

For additional information, please contact Gea Landy at glandy@mayerbrown.com or +1 212 506 2225.

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