2018 IAA Compliance Conference

Starts:  Mar 15, 2018 7:15 AM (ET)
Ends:  Mar 16, 2018 4:00 PM (ET)


Investment Adviser Compliance Conference

The IAA’s annual Investment Adviser Compliance Conference is a comprehensive two-day program that provides investment advisers with the most current information available on the changing regulatory landscape. Participants will return to their firms with practical insights and knowledge of best practices to help them maintain a successful compliance program. In addition to meeting and interacting with peers, attendees will hear from a distinguished roster of speakers that includes SEC staff, investment adviser industry professionals, and legal experts.


The 2018 conference – on March 15-16 in Washington, D.C. – will cover a wide range of topics, including strategies for managing an SEC exam; understanding recent custody rule guidance; compliance testing and annual reviews; GIPS compliance and developments; cybersecurity developments; compliance obligations in automated investment advice; advertising, marketing materials and managing social media; third party due diligence; vendor oversight and contracts, and much more. Details are available in the full conference agenda.


Access the fee schedule, and hotel and airline discount information and related information. Register by January 12 to take advantage of the early registration discount.

The 2018 IAA Investment Adviser Compliance Conference will take place at the Hyatt Regency Washington on Capitol Hill in Washington, DC. 

Sponsors & Exhibitors

View our Compliance Conference sponsors and exhibitors here.

Please contact IAA Member Services and Marketing Coordinator Alex Ioannidis at alex.ioannidis@investmentadviser.org for information about sponsorship and exhibiting opportunities.

Continuing Education Credit

IACCP Credit:
The conference is approved for NRS Investment Adviser Certified Compliance Professional® (IACCP®) continuing education credit.             

CLE Credit:
CLE accreditation is pending in certain states. The provider believes this course meets the requirement of NH Supreme Court Rule 53. For more information or to request that your state be included, please contact Megan Olson at megan.olson@investmentadviser.org. Additional information will be available soon.

CPE credit will be available for this conference. Additional information will be available soon.

More Information

For more information about the Compliance Conference, contact IAA Director of Meetings & Events Lisa Gillette at (202) 293-4222 or at lisa.gillette@investmentadviser.org.

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Lisa Gillette
(202) 293-4222