With efforts to comply with the DOL fiduciary rule underway, financial institutions and fund complexes face implementation and operational challenges during the ongoing transition period. During this presentation, speakers will discuss the shifting regulatory landscape, including the SEC’s recent involvement in this area. The panel will also cover issues facing fund boards and will discuss how funds are positioning their products, including share class changes, as distributors’ needs continue to evolve.
This webinar will be broadcast live from 2:00 to 3:00 Eastern time on Thursday, October 12, 2017. Register online.