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).
![]() |
Christine SchleppegrellActing Branch Chief of the Private Funds Branch, U.S. Securities and Exchange Commission |
![]() |
Vivek PingiliManaging Director, ACA Group |
![]() |
Shivani ChoudharyManaging Director, ACA Group |
![]() |
Mike AbbrianoManaging Director, ACA Group |