In this complimentary semi-annual IAA member briefing, the IAA’s legal team and government relations staff will discuss the current status of regulatory and legislative activities affecting investment advisers, look ahead to upcoming challenges in 2018, and outline the IAA’s strategies for meeting those challenges. Topics will include the SEC’s regulatory flexibility agenda and its examination and enforcement priorities, the status of the SEC’s work on standards of conduct applicable to advisers and broker-dealers; cybersecurity; MiFID II and other international regulatory changes; tax reform; active and passive management; relevant CFTC and Treasury developments; and how the Administration’s push to streamline regulation could impact investment advisers.
Questions may be submitted in advance to email@example.com. A more detailed agenda will be circulated to registrants prior to the webinar.
Webinar Audio Platform
Audio for this webinar will be broadcast through the internet via your computer speakers. Please visit the IAA's Webinar FAQ page or email firstname.lastname@example.org if you have questions.
Click the "Register" button on this page.
This webinar is complimentary and only open to IAA members and associate members.
Registration closes on Wednesday, February 7 at noon ET, or when registration reaches capacity. The webinar will be recorded and available on IAA’s website.
For questions regarding this call, contact the IAA at (202) 293-4222 or email email@example.com.