U.S. Regulatory Priorities for 2022
This webinar, which is offered to legal and compliance professionals, will provide an overview of the applicable regulations for SEC-registered and unregistered advisers, as well as some practical tips for compliance.
The U.S. federal securities laws impose a variety of reporting and compliance obligations that apply in certain circumstances to investment managers based outside of the U.S., as well as the funds that they manage. To assist investment managers in planning for 2022, Karen Anderberg and Laurel Neale will discuss recent SEC inspection and enforcement priorities and the potential upcoming developments which will be most likely to affect them. They will also briefly review certain periodic reporting and compliance obligations that most typically apply to non-U.S.-based investment managers.
UPDATE: Following the recent announcement, we will also be covering the SEC’s sweeping new proposals governing the rules for private funds.
For queries related to this webinar, please contact abby.cook@dechert.com.
If you are a reporter and would like to attend this event, please contact pressteam@dechert.com.