Euro Crisis Webinar Series: Issues Affecting Fund Management
A Webinar Presented by Dechert's Financial Services Group
June 13, 2012
The ongoing Euro Crisis raises several issues and risks for investors. In this upcoming webinar, members from Dechert’s Financial Services Group will discuss the potential issues and oversight actions that should be considered by the management and boards of U.S. and non-U.S. funds.
- What are likely to be the key issues from the Euro Crisis that could impact U.S. Registered Funds, UCITs and QIFs/SIFs; in particular, what boards should consider, analysis of fund documentation, risk management, portfolio and share class exposure, investment management agreements, service provider and counterparty agreements, custody arrangements and liquidity and valuation
- What are the ways that fund managers can be proactive to prepare to deal with the Euro Crisis
- Applying the lessons learned from the 2007-2008 financial crisis to the issues arising from the Euro Crisis
- How the Euro Crisis could impact funds that do not even invest in European sovereign debt?