News

  • June 26, 2023

    Forum Webinar: Closed-End Fund Litigation Overview and Update

    Simpson Thacher partners Ryan Brizek and Alan Turner will host a webinar covering recent updates in closed-end fund litigation as well as general trends in the closed-end fund space.

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  • June 22, 2023

    Dechert ‘On Point’ Discusses Artificial Intelligence Regulatory Updates

    Dechert recently released a regulatory update highlighting the Biden Administration’s regulatory focus on Artificial Intelligence (AI) technology updates. Dechert also notes that “Federal agencies, including the Federal Trade Commission and Consumer Financial Protection Bureau, have issued statements confirming that they will apply existing laws and regulations to new technologies, including AI, with a particular focus on enforcing civil rights, non-discrimination, fair competition, consumer protection and other vitally important legal protections.”

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  • June 21, 2023

    Event of Interest: EY to Discuss Prioritizing Governance in ESG Strategy

    The program will focus on understanding governance risks and opportunities as well as identifying ways for the organization to ensure it has the experience and skills to mitigate the changing environment.

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  • June 20, 2023

    SEC Spring Agenda Update Released

    In a statement, SEC Chair Gary Gensler noted, “our Commission has updated its ruleset to meet the challenges of a new hour.” Of note to fund directors, the agenda mentions anticipated regulatory action on “Fund Fee and Disclosure Reform” for April 2024.

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  • June 15, 2023

    Gensler Delivers Remarks on Market Structure, Asset Management at ICI Washington DC Conference

    His remarks, entitled “Bear in the Woods,” touched on investment and liquidity risks posed by certain types of investment funds as well as the SEC’s recent proposals addressing those perceived risks. When referencing the recent open-end fund proposal, Chair Gensler stated the Commission put forward “a number of alternatives” including “either within the framework of swing pricing or liquidity fees…”

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  • June 14, 2023

    Nasdaq Publishes Paper on Third Party Risk and Board Oversight

    The paper highlights that boards “play a crucial role in ensuring the companies they oversee are performing the due diligence necessary to assess any risks that third parties pose to the company and its operations.” Third party vendors can provide a variety of services but boards should ensure management considers what happens if there is a breach at the vendor, or even a scenario where the vendor is out of business.

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  • June 13, 2023

    House Agriculture and Financial Services Committee Release Discussion Draft for Digital Asset Legislation

    The draft sets a framework for a company to register with the SEC in order to issue a digital asset, allows for Alternative Trading Systems (ATS) to register as exchanges for crypto assets that remain securities, and provide a regulatory pathway for CFTC oversight of digital assets that move outside of the investment contract status. The draft is also silent on any specific existing assets, which likely means that digital assets currently in existence would need to be certified separately.

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  • June 12, 2023

    Event of Interest: The Evolution of ESG Investing in Asset Management

    EY plans to hold a webinar titled, “How ESG is evolving in asset management" which will feature a discussion with asset owners and institutional consultants to capture where investors align on ESG and where fault lines have deepened.

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  • June 8, 2023

    SEC Division of Investment Management Hosts Conference on Emerging Trends in Asset Management

    The SEC’s Division of Investment Management held an inaugural program titled, “Conference on Emerging Trends in Asset Management.” The conference broadly touched on investor protection, the rise of private funds, investment complexity and trends, outsourcing, and industry innovation.

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  • June 7, 2023

    MFDF Webinar: SEC Division of Examinations Staff Panel – Investment Company Issues and Considerations for Fund Boards

    Tomorrow, June 8 the SEC Division of Examinations staff will discuss topical issues related to investment companies and their advisers, as well as considerations for independent fund directors and CCOs. This webinar will not be recorded or archived and is only open to fund directors and CCOs.

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  • June 6, 2023

    State AGs Send Subpoenas, Investigative Demands to Asset Managers on ESG Practices

    Over the past month, multiple state attorneys general have sent subpoenas or civil investigative demands (CIDs) to certain asset managers due to their incorporation of ESG factors in investment strategy. A client alert from K&L Gates highlights the complexity of the state AG requests, noting “asset managers should think about jurisdictional questions, especially where they have no place of business or clients in a state issuing the demand.”

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  • June 5, 2023

    MFDF Webinar: Latest Updates in Mutual Fund Litigation and Enforcement

    Tomorrow, June 6 at 2:00pm ET partners with Dechert’s financial services practice plan to review mutual fund industry litigation from 2022 and provide a preview of what to expect in regulatory enforcement in 2023.

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  • June 1, 2023

    House Financial Services Committee Advances Six Bills During May Mark-Up

    In May, the House Financial Services Committee advanced six bills, of which four bills received bipartisan support. Of interest to directors of closed-end funds, the “Increasing Investor Opportunities Act,” (H.R. 2627) was advanced by a vote of 37-11.

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  • May 31, 2023

    SEC Issues LIBOR-Transition Related Risk Alert

    Recently, the Securities and Exchange Commission released a Risk Alert highlighting observations from recent exams of investment advisers and investment companies on LIBOR transition-related risks. The Risk Alert notes that “[f]irms have made significant efforts to prepare for the transition away from LIBOR” and encourages all firms to consider the preparation and resources needed as the transition away from U.S. Dollar LIBOR approaches on June 30.

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  • May 30, 2023

    Sidley Austin’s Jay Baris Hosts “Mutual Fund Minute” Podcast

    Jay Baris, a partner in Sidley Austin’s New York office has started highlighting important background and developments in the registered fund space with his podcast “Mutual Fund Minute.”

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  • May 25, 2023

    SEC Chair Gensler Delivers Remarks on Financial Market Risk, Resilience

    SEC Chair Gary Gensler delivered remarks entitled “Lessons from Mrs. O’Leary’s Cow” which focused on risk in the financial markets and the role the Commission plays in supporting resiliency. He noted the Commission is focused on encouraging resiliency among financial system intermediaries (such as stock exchanges, clearinghouses, broker-dealers, investment advisers, and transfer agents), Treasury market reforms, central clearing and the settlement cycle, private funds, money market and open-end funds, and cybersecurity.

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  • May 24, 2023

    New York Attorney General Releases Legislative Language to Regulate Digital Assets at the State Level

    According to a press release from the Attorney General’s office, the bill would “require independent public audits of cryptocurrency exchanges and prevent individuals from owning the same companies, such as brokerages and tokens, to stop conflicts of interest.” Additionally, the bill creates new regulatory responsibilities for crypto platforms, imposes prospectus and listing requirements, requires digital asset brokers to obtain and maintain custody of the digital assets, and strengthens the regulatory authority of the New York State Department of Financial Services to oversee the digital asset space.

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  • May 23, 2023

    Ropes & Gray Announces 2023 Webinar Series on ESG and Asset Management

    Beginning on Thursday, May 25 and running through August, Ropes & Gray will host a series of webinars focused on the intersection of ESG policy and asset management. Program topics will touch on ESG and mutual fund directors, ESG considerations during the fundraising process for private funds, SFDR and other European considerations, the differences between the US and Europe and greenwashing.

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  • May 22, 2023

    ACA Hosts Webinar on Cyber and Compliance Challenges in Large Language Models

    Tomorrow, ACA plans to host a webinar entitled “Managing the Cyber and Compliance Risks of ChatGPT and Other Large Language Models.” The program will focus on the impact the advancement of Large Language Models (LLMs) such as ChatGPT and OpenAI have on entity operation.

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  • May 18, 2023

    Event of Interest: EY to Host Webinar on Boards Enhancing Resiliency Through Risk Oversight

    Ernst & Young plans to host a webinar entitled, “How boards can enhance resiliency through effective risk oversight.” The webinar will cover the current risk environment and discuss how boards can promote resiliency by helping anticipate, prepare for, and respond to a changing environment as a governance priority.

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