Corporate Governance Implications of Non- and Deferred Prosecution Agreements at AALS Midyear Meeting in Washington DC

AALS Midyear Meeting:  Workshop on Blurring Boundaries in Financial and Corporate Law June 7 – 9, 2014 Monday, June 9, 2014, 1:30 – 3:00 p.m. New Frontiers: Innovation, Competition and Collaboration in International Financial Markets Wulf Kaal, University of St. Thomas School of Law Eric J. Pan, Associate Director, Office of International Affairs, U.S. Securities […]

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Hedge Funds and Private Equity Presentation at Upper Midwest Securities Litigation and Enforcement Forum

Upper Midwest Securities Litigation and Enforcement Forum 2014 Briggs Securities Litigation Forum Thursday, May 29, 2014  Graves 601 Hotel  601 1st Avenue North Minneapolis, MN 55403 http://www.graves601hotel.com CLE credits applied for  REGISTER: Dena Edmiston, Briggs and Morgan, P.A. 612.977.8581 or e-mail dedmiston@briggs.com  Welcome Register today for the fifth annual Upper Midwest Securities Litigation and Enforcement […]

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6. Liechtensteinischer Fondstag Produktregulierung: Fondstypen und Anlagestrategien

Detailprogramm 6. Liechtensteinischer Fondstag Tagung: Donnerstag, 22. Mai 2014 6. Liechtensteinischer Fondstag Produktregulierung: Fondstypen und Anlagestrategien Institut für Finanzdienstleistungen Propter Homines Lehrstuhl für Bank‐ und Finanzmarktrecht Editorial Sehr geehrte Damen und Herren, Nach der Verwalterregulierung durch die (reformierte) UCITS‐RL und AIFM‐RL ist als neuer gesetzgeberischer Trend die Regulierung des Produkts durch Fondstypen auszumachen. Differenziert wird […]

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Conference Update: Initiatives for Sustainable Financial Regulation

University of St. Thomas Law Journal Spring Symposium Beyond Crisis-Driven Regulation: Initiatives for Sustainable Financial Regulation Friday, April 11, 2014, Minneapolis, MN co-sponsored by the Holloran Center for Ethical Leadership in the Professions 7 hours CLE pending approval – REGISTER NOW Featuring Steven L. Schwarcz, Keynote John C. Coffee, Jr. “A Closer Look at SEC Enforcement” […]

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Conference Announcement: Beyond Crises-Driven Regulation – Initiatives for Sustainable Financial Regulation

University of St. Thomas Law Journal Spring Symposium Friday, April 11, 2014, Minneapolis, MN co-sponsored by the Holloran Center for Ethical Leadership in the Professions 7 hours CLE pending approval – REGISTER NOW SPEAKERS Steven L. Schwarcz, keynote Duke University School of Law Roberta Romano Yale Law School Erik F. Gerding University of Colorado Law School Kimberly […]

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The Effect of the Dodd-Frank Act on Hedge Fund Performance – Presentation at George Washington University Law School

THE CENTER FOR LAW, ECONOMICS AND FINANCE AT THE GEORGE WASHINGTON UNIVERSITY LAW SCHOOL FOURTH ANNUAL JUNIOR FACULTY BUSINESS AND FINANCIAL LAW WORKSHOP AND JUNIOR FACULTY SCHOLARSHIP PRIZES Sponsored by Schulte Roth & Zabel LLP The George Washington University Law School 2000 H Street, NW Washington, DC 20052 February 7-8, 2014 Friday February 7 Welcome, […]

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New Hedge Fund Data on SEC Form PF – Presentation at Investment Fund Roundtable

Investment Fund Roundtable program 1 2014 Investment Funds A Roundtable Discussion Brooklyn Law School Friday, January 31, 2014 Discussion Agenda Session I:      Fiduciaries: Harmonizing the Standard of Conduct for Financial Intermediaries Moderator: Deborah A. DeMott, Duke University School of Law Is there and ought there be a common standard of conduct for financial intermediaries toward […]

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Hedge Funds – A New Era of Transparency

Hedge funds play a critical role in capital formation, and are increasingly influential participants in the capital markets.  The hedge fund industry is transitioning from a secretive industry to a widely-recognized and influential group of investment managers. Mary Jo White’s speech at the Managed Funds Association Conference on October 18, 2013 underscores the transformation of the […]

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HEDGE FUND REGULATION SYMPOSIUM

UNIVERSITY OF MINNESOTA LAW SCHOOL CORPORATE INSTITUTE HEDGE FUND REGULATION SYMPOSIUM Tuesday, November 5, at 3:15-5:15PM (Reception to follow) University of Minnesota Law School Room 25 Applied for CLE Credits – 2 hours (No charge) RSVP to melloh@umn.edu   US hedge fund regulation under the Dodd-Frank Act of 2010…European hedge fund regulation…legal and illegal use […]

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