Click on the month to view the speaking engagements.
|
|
Best Practices for Conducting the Annual Compliance Review |
| Date: | 01/17/07 |
| Topic: | A Plan for an Annual Compliance Review & Keeping Ahead of the Regs |
| Sponsor: | Financial Research Associates, LLC |
| Location: | New York, NY |
| Speaker: | Jeff Morton |
| ***** |
Annual Educational Symposium |
| Date: | 01/19/07 |
| Topic: | Current Hot Topics in SEC Compliance |
| Sponsor: | The Financial Planning Association- National Capital Area Chapter |
| Location: | Tysons Corner, VA |
| Speaker: | Kimberly Hill |
| ***** |
Institutional Investor Legal Forum |
| Date: | 01/24/07 |
| Topic: | Managing Hedge Funds, Managing Conflicts |
| Sponsor: | Financial Research Associates, LLC |
| Location: | Washington, DC |
| Speaker: | Jeff Morton |
| ***** |
Seminar for Fund Directors on Securities Lending |
| Date: | 01/25/07 |
| Topic: | Compliance and Operational Issues |
| Sponsor: | Mutual Fund Directors Forum and Columbia Law School |
| Location: | New York, NY |
| Speaker: | Nick Prokos |
| ***** |
Investment Adviser Regulation |
| Date: | 01/26/07 |
| Topic: | Compliance; SEC Examinations |
| Sponsor: | ALI-ABA |
| Location: | Washington, DC |
| Speaker: | Jeff Morton |
| ***** |
|
|
Hedge Fund Operations and Compliance Conference |
| Date: | October 1, 2007 |
| Topic: | Building and Maintaining a Compliance Program |
| Sponsor: | Finance IQ |
| Location: | Stamford, CT |
| Speaker: | Kimberly Hill |
| ***** |
NSCP National Membership Meeting |
| Date: | October 17, 2007 |
| Topic: | Conflicts of Interest (Small Firms) |
| Sponsor: | National Society of Compliance Professionals |
| Location: | Washington, DC |
| Speaker: | Jeff Morton |
| ***** |
Investment Adviser Roundtable |
| Date: | October 25, 2007 |
| Topic: | Practical Compliance Tips and Recent Developments |
| Sponsor: | Bell Boyd |
| Location: | Chicago, IL |
| Speaker: | Daniel Smith, CFA |
| ***** |
Securities Lending: The Board’s Role |
| Date: | October 29, 2007 |
| Topic: | Compliance and Disclosure Issues |
| Sponsor: | MFDF and KPMG, LLP |
| Location: | Chicago, IL |
| Speaker: | Shannon Behara |
| ***** |
|
|
Cultivating a Culture of Compliance |
| Date: | November 13, 2007 |
| Topic: | CFO/CCO Summit |
| Sponsor: | Banc of America Securities Prime Brokerage |
| Location: | San Francisco, CA |
| Speaker: | Gary Watkins |
| ***** |
Cayman Islands Conference |
| Date: | November 16, 2007 |
| Topic: | Anatomy of a Compliance Program and Regulatory Examination |
| Sponsor: | MarHedge |
| Location: | Grand Cayman |
| Speaker: | Barry Schwartz |
| ***** |
Dual Registrant Symposium |
| Date: | November 29, 2007 |
| Topic: | Pre-Conference Workshop: Investment Adviser/Broker Dealer Dual Regulations: Understanding the Confusion |
| Sponsor: | Financial Research Associates, LLC |
| Location: | New York, NY |
| Speaker: | Jeff Morton |
| ***** |
Boston Financial Data Services 2007 CCO Forum |
| Date: | November 6, 2007 |
| Topic: | SEC Exams…What Are They Fishing For? |
| Sponsor: | Boston Financial Data Services |
| Location: | Boston, MA |
| Speaker: | Jeff Morton |
| ***** |
DFA Chicago “Study Group” (IA) |
| Date: | November, 6 2007 |
| Topic: | SEC Exams: A Description and Survival Guide |
| Sponsor: | Dimensional Fund Advisors |
| Location: | Rosemont, IL |
| Speaker: | Nick Batinich & Dan Smith |
| ***** |