Event
Houston Chief Compliance Officer Roundtable
Wednesday, April 29, 2026
Event Details
DateWednesday, April 29, 2026
Time8:30 a.m. – 12:00 p.m. CT
Sidley | 1000 Louisiana St, Suite 5900, Houston, TX 77002
Registration and Breakfast | 8:30 a.m. CT
Program | 9:00 a.m. - 12:00 p.m. CT
RSVP here.
Join Sidley, ACA Group, and the Investment Adviser Association for a focused discussion with Marshall Gandy, Senior Officer and Investment Adviser/Investment Company Program Director in the SEC’s Division of Examinations, and Associate Regional Director for Examinations in the SEC’s Fort Worth Regional Office.
Topics will cover key issues shaping the investment adviser landscape, including:
- Regulatory & Compliance
- Marketing Rule & Performance
- Technology, Innovation, & Cybersecurity
- Investment Products & Market Trends
- Commission Outlook Under the Current Administration
Light breakfast will be provided.
CLE Credit pending
For more information or questions, please contact hnevents@sidley.com.
Contacts
Offices
Capabilities
Suggested News & Insights
U.S. DOL Tightens Reins on Proxy Advisory Firms Under ERISAApril 20, 2026Sidley Represents Neomorph in Its US$100 Million Series B FinancingApril 15, 2026UK Operational Incident and Third-Party Reporting Rules: What Firms Should Do NowApril 15, 2026UK EU Investment Management Update (April 2026)April 9, 2026U.S. DOL Proposes New Safe Harbor for Selecting Investment Options for 401(k) Plans, Including Options With Alternative AssetsApril 6, 2026Nineteen Sidley Lawyers Named Finalists for the Women in Business Law Americas Awards 2026April 2, 2026
- Stay Up To DateSubscribe to Sidley Publications
- Follow Sidley on Social MediaSocial Media Directory


