The ICI's annual conference on regulatory and legislative issues affecting the fund industry will be held on December 11, 2013. At this one-day conference, attendees will learn how the fund industry is addressing ongoing implementation issues under the Dodd-Frank Act, hear from senior SEC officials about the agency’s recent initiatives and its plans for 2014, and join industry experts and peers for panel discussions on this year’s significant regulatory developments, recent enforcement and compliance issues. Jamie Fleckner, partner and head of the firm's ERISA Litigation practice will participate on a panel discussion at this conference.
Events December 11, 2013
1001 16th Street, NW