Assess the impact and scope of:
• UK and EU regulatory developments
• AIFM Directive operational implications
• Regulatory supervisory changes
• FATCA
• EMIR and OTC derivative reform
Benchmark your approach to:
• Client money under new CASS rules
• What is good product governance
• UCITS risk and control frameworks
• Managing regulatory capital requirements
• RDR repercussions for the industry
Gain practical guidance into:
• Interplay between the AIFMD and UCITS
• Key risk management priorities for 2012
• Shadow banking activities
• MIFID II
• FSA enforcement developments
Learn more with the Fund Management Regulation conference latest agenda today.
Maximising Investor, Regulatory & Business Value in
Internal Risk & Control Frameworks
29 June 2012 • Central London
Giles Swan
Director of Global Funds Policy
ICI GLOBAL
& Formerly
FINANCIAL SERVICES
AUTHORITY
Dr. Christian Szylar
Head of Risk & Performance
MARSHALL WACE
Mike Gould
Director, EMEA Compliance
RUSSELL INVESTMENTS
Sue Woodman
General Counsel & Compliance Officer
EQUISTONE PARTNERS EUROPE
Ulf Klebeck
Senior Fund Lawyer
VONTOBEL ASSET
MANAGEMENT
Ansumana Bai-Marrow
Senior Compliance Officer
NORTHERN TRUST
GLOBAL INVESTMENTS
Gregory Brandman
Partner
EVERSHEDS
&
Formally Manager Enforcement Division
FSA
Leonard Ng
Partner
SIDLEY AUSTIN
"The presenter was brilliant. The material was pitched at the right level. Lots of interaction and real life examples"