33rd Annual Law & Compliance Division Conference on the Regulation of Futures, Derivatives and OTC Products

May 4-6, 2011
National Harbor, MD

Organizer: Futures Industry Association

Topic: This session will provide an overview of legislative changes and regulatory initiatives applicable to the asset management community with the passage of Dodd-Frank and the Volker Rule. Panelists will discuss Dodd-Frank's impact and rulemakings that affect investment advisers, commodity pool operators, commodity trading advisors and the management of hedge funds. The session will also cover recent developments such as expert networks and insider trading, "pay to play" and new California and New York lobbying laws.