Related Events

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Dechert Speakers
Presented by the AIMSE
October 15, 2015
New York
Presented by Dechert’s Financial Services and White Collar and Securities Litigation Groups
April 23, 2014
New York, NY
Presented by SEI Investments
December 10, 2013
Women in Investing Network of Philadelphia
October 29, 2013
Philadelphia, PA
CFA Society of Philadelphia
May 2, 2012
Malvern, PA
Can 1940 Act Funds Provide Hedge Fund Exposures? At What Cost?
CFA Society of Philadelphia and Mid-Atlantic Hedge Fund Association present: Hedge Fund Association Conference - Investing in Hedge Funds in a Time of Uncertainty
October 6, 2011
Philadelphia, PA
Presented by Dechert LLP’s Financial Services Group

March 12, 2009
FRA’s Compliance & Operational Best Practices for Hard-to-Value Securities & Portfolios Conference
March 17, 2008
New York, NY
Ethical Issues for Investment Management Lawyers
Pennsylvania Bar Institute
February 21, 2008
Philadelphia, PA
Presented by Dechert’s Financial Services Group
January 17, 2008
Adviser Advertising and Annual Compliance Reviews
Investment Adviser Association
November 8, 2007
New York, NY
Introduction to Hedge Fund Valuations
Pension Governance LLC
October 31, 2007
Philadelphia, PA
Offshore Funds - Marketing/Distribution Compensation & Forms of the Arrangements
Financial Research Associates and Legal Education Association “Offshore Funds: Structure, Compliance & Operations”
June 25, 2007
New York, NY 
Securities Lending
2007 Investment Companies’ & Advisers’ Compliance Program
April 18, 2007
Philadelphia, PA
Offshore Funds - Marketing/Distribution Compensation & Forms of the Arrangements
2006 Offshore Funds Structures, Compliance, & Operations Summit
May 12, 2006
New York, NY
The SEC’s Rules Requiring Compliance Programs and Strategies for Risk Assessment
The 2006 Mutual Fund and Investment Adviser Compliance Program
April 21, 2006
Philadelphia, PA
“Adviser Advertising” and “Adviser Risk Assessment, Monitoring and Testing”
2005 IAA Compliance Workshops
October 27, 2005
Boston, MA
Today’s Regulatory Environment
Investment Management Consultants Association - Alternative Investments Program
June 13, 2005
Philadelphia, PA
“US Regulatory Developments - And What They Mean for Canada”
Strategy Institutes 7th Annual Compliance Readiness Strategies for Investment Counsel and Portfolio Management
May 18, 2005
Toronto, ON
Managing Legal and Regulatory Issues for Hedge Funds
CFA Institute Annual Conference (formerly AIMR)
May 7, 2005
Philadelphia, PA
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