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Hedge Fund Regulation
25th January 2012, London

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Three years after the worst financial crisis in a century and the regulatory response is in full swing. Attention will soon shift from the US, where the Dodd-Frank Act will imminently impose a new layer of regulation on hedge funds and investors operating in the US, to Europe, where supervisors are thrashing out more than 20 specific issues relating to the implementation of the Alternative Investment Fund Managers Directive, likely to come into force in early 2013.

Moreover regulators on both sides of the Atlantic are leading a new charge against insider trading, testing the boundaries which traders hitherto understood to be within the realms of acceptable practice and attention is also focusing on aspects of the new Bribery Act and in particular the way in which hedge funds market themselves to sovereign wealth fund operators.

Understanding the implications of all these developments will undoubtedly determine which hedge funds survive the current regulatory purge. InvestoRegulation’s third annual Hedge Fund Regulation Symposium draws together the leading experts and practitioners in the field. Addressing specific regulatory initiatives in detail, and casting an analytical eye over the ultimate priorities of international regulators – not just in the immediate future but beyond the current wave of rulemaking – the conference promises to be a provocative and unmissable occasion.


London: 25th January 2012
Programme | Speakers | Sponsors & Event Partners | Venue | Register
This is InvestoRegulation's 3rd annual conference on Hedge Fund Regulation and it will be held in conjunction with the workshop How to Navigate a Prime Brokerage Agreement that is taking place in London on 24th January 2012.
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Hedge Fund Regulation will also explore critical, related matters such as:
• AIFM Directive: The Devil and the Detail - Assessing the business impact of Level 2 implementation
• Hedge Fund Regulation and investors’ perspective: Unveiling a new set of standards
• US Financial Reform: A view from the front line
• Insider Dealing: Navigating a way through the regulatory storm
• Bribery Act and Foreign and Corrupt Practices Act: latest developments
• OTC Derivatives: Strategies for the transitional phase of implementation
• Remuneration Code – squaring the circle


Solicitors Regulation Authority: CPD - 7 hours 30 minutes

New York and California: CLE - 9 hours

Hong Kong Law Society accreditation applied for


Who should attend Hedge Fund Regulation?
Hedge fund managers
Fund of hedge fund managers
Company secretaries
Executing brokers
Hedge fund administrators
Regulators and exchange officials
Institutional investors
Brokers
Compliance Officers
Legal Advisors
Risk Managers
Corporate Financiers
Finance Directors
Financial Services Advisors
Fund Managers
Prime brokers
Exchange officials
Academics
Anyone who needs to understand how the Hedge fund industry is developing and maturing








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