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Webcast

Unpacking the SEC's Proposed Rules for Private Fund Advisers

Impact on Compliance and Performance

On demand Any time Your Desk!

On February 9, 2022, the SEC proposed several rule-driven regulatory changes for private fund advisers, which are arguably the biggest regulatory development for the industry since the Dodd-Frank Act. These proposed changes will impact both SEC-registered and unregistered private fund managers.

Join us Tuesday, April 19 at 11:00 AM EDT for an in depth discussion about the proposed rules and their anticipated impact on private fund businesses (including compliance and performance teams). 

Discussion Topics

  • Proposed Rules to Increase the Regulation of Private Funds
  • Significant Prohibitions on Long Standing Industry Practices
  • Additional Reporting Requirements for Investors (Related to Fund Performance and Fees & Expenses)

Speakers

Christine Ayako Schleppegrell

Christine Schleppegrell

Acting Branch Chief of the Private Funds Branch, U.S. Securities and Exchange Commission

Vivek Pingili

Vivek Pingili

Managing Director, ACA Group

Shivani Choudhary

Shivani Choudhary

Managing Director, ACA Group

Mike Abbriano

Mike Abbriano

Managing Director, ACA Group

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