Course Handbook   Course Handbook

Investment Management Institute 2012

Publication Date: February 2012 Number of Volumes: 1
ISBN Number: 9781402417276 Page Count: 856 pages

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Download: Table of Contents   Index

Investment Management Institute 2012 TOC
Chapter 1: SEC Agenda Outline Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 2: Remarks at SIFMA's 2011 Annual Meeting by Chairman Mary L. Schapiro, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 3: Speech by SEC Staff: Remarks Before the ALI-ABA Conference on Life Insurance Company Products, by Eileen Rominger, Director, Division of Investment Management, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 4: Testimony on Market Micro-Structure: An Examination of ETFs, by Eileen Rominger, Director, Division of Investment Management, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 5: Speech by SEC Staff: Remarks Before the Mutual Fund Directors Forum and the University of Maryland "Oversight Derivatives" Conference, by Eileen Rominger, Director, Division of Investment Management, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 6: Speech by SEC Staff: Keynote Address at the Insured Retirement Institute 2011 Government, Legal & Regulatory Conference, by Eileen Rominger, Director, Division of Investment Management, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 7: The Blurring of Regulatory Lines: Broker-Dealer and Investment Adviser Harmonization Initiatives; Impact of Department of Labor Initiatives on Fund Managers; Dodd-Frank Regulations; Other Regulatory Constraints on Mutual Funds Robert G. Zack ~
Chapter 8: The Regulation of Derivatives: Under UCITS and the Investment Company Act Karrie McMillan ~ General Counsel, Investment Company Institute
Chapter 9: Private Fund Managers and the Investment Advisers Act of 1940: The Brave New Regulatory World Has Begun Barry P. Barbash ~ Willkie Farr & Gallagher LLP
Chapter 10: Regulation of Investment Advisers by the U.S. Securities and Exchange Commission Robert E. Plaze ~ Deputy Director, Division of Investment Management, U.S. Securities and Exchange Commission
Chapter 11: The Securities and Exchange Commission's Whistleblower Program Elizabeth R. Krentzman ~ Principal, Governance, Regulatory & Risk Strategies, Deloitte & Touche LLP
Chapter 12: Compliance and Inspections Outline Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 13: U.S. Securities and Exchange Commission: Annual Report on the Dodd-Frank Whistleblower Program Fiscal Year 2011 Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 14: Speech by SEC Staff: The Role of Compliance and Ethics in Risk Management, by Carlo V. di Florio, Director, Office of Compliance Inspections and Examinations, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 15: Speech by SEC Staff: Private Equity International's Private Fund Compliance, by Carlo V. di Florio, Director, Office of Compliance Inspections and Examinations, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 16: Speech by SEC Staff: Remarks at the IA Watch Annual IA Compliance Best Practices Seminar, by Carlo V. di Florio, Director, Office of Compliance Inspections and Examinations, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 17: Speech by SEC Staff: Keynote Address at the SIFMA Anti-Money Laundering Seminar, by Carlo V. di Florio, Director, Office of Compliance Inspections and Examinations, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 18: Speech by SEC Staff: Remarks at the CCOutreach National Seminar, by Carlo V. di Florio, Director, Office of Compliance Inspections and Examinations, U.S. Securities and Exchange Commission Paul F. Roye ~ Senior Vice President, Fund Business Management Group, Capital Research and Management Company
Chapter 19: Developments in Employee Benefit Plan Law Outline Melanie Franco Nussdorf ~ Steptoe & Johnson LLP
Chapter 20: Developments in Litigation Involving Mutual Funds and Investment Advisers Neil C Gray ~ Clifford Chance US LLP
James N. Benedict ~ Milbank, Tweed, Hadley & McCloy LLP
Chapter 21: The Investment Management Institute: Enforcement Trends and Themes Carol Robinson Schepp ~ Wilmer Cutler Pickering Hale and Dorr LLP
Lori A. Martin ~ WilmerHale LLP
Chapter 22: The Asset Management Business and the Looming Specter of Increased Enforcement Scrutiny Barry P. Barbash ~ Willkie Farr & Gallagher LLP
Chapter 23: Ethics and Professional Responsibility Issues Michael S. Sackheim ~ Sidley Austin LLP
Chapter 24: Index to Investment Management Institute 2012
Course Handbook from the program Investment Management Institute 2012, held February 9th - 10th, 2012.
Co-Chair(s)
Barry P. Barbash, Willkie Farr & Gallagher LLP
Paul F. Roye, Capital Research and Management Company
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