Sidley Austin LLP and ACA Compliance Group invite you to the latest in a series of interactive investment adviser compliance roundtables. This series is designed to bring compliance officers and others interested in adviser compliance issues in the Chicago metropolitan area together periodically to share information and discuss hot topics. CLE credit will also be offered.
At the Spring 2016 Roundtable, our panelists will discuss the latest regulatory developments affecting investment advisers, including hedge fund and private equity managers and family offices.
Panelists will include: Bobby Ankar, Senior Principal Consultant, ACA Performance Services; Nick Batinich, Managing Director, ACA Compliance Group and Amy Rosenow, Chief Operating Officer and Chief Compliance Officer, Sheffield Asset Management, L.L.C..
Registration and Breakfast:
8:00 a.m. – 8:30 a.m.
8:30 a.m. – 11:30 a.m.
For more information or questions, please contact Kayla Sierra at firstname.lastname@example.org or call +1 312 456 9396.