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June 5, 2024
SEC Publishes Investment Adviser Statistics ReportThe report, which will be updated annually, covers adviser activities, client composition, and detailed information on the types of funds offered.
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June 4, 2024
SEC Hosts Second Conference on Emerging Trends in Asset ManagementThe conference focused on trends in products and strategies, technology, and regulation. Former MFDF President Susan Wyderko spoke on issues related to registered funds noting that since the creation of the Commission, the basic issues have not materially changed. She added independent fund directors are equipped to handle conflicts of interest as well as understanding their role in overseeing technology changes and developments.
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June 3, 2024
SEC Adopts Regulation S-P EnhancementsOn May 16, the SEC adopted rule amendments that require registered funds, among other entities, to adopt written incident response procedures to address unauthorized access to customer information, including notification procedures that provide details about the incident designed to help facilitate timely and appropriate responses.
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May 30, 2024
ACA Highlights 8 Steps CCOs Should Take to Prepare for AI RegulationThese steps include taking an inventory of the firm’s current AI use, assessing the risk, implementing controls around the use of AI, and a review AI-related disclosures.
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May 29, 2024
House Subcommittee Holds Hearing on SEC OversightSubcommittee Chairwoman Ann Wagner (R-MO) emphasized that the Securities and Exchange Commission’s enforcement policy must strike the right balance between deterring and punishing securities fraud, preserving due process rights, and protecting the interests of those who rely on U.S. markets.
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May 28, 2024
FinCen, SEC Issue Proposed Rulemaking for Customer Identification Programs for Registered Investment AdvisersFinCEN and the SEC jointly released a notice of proposed rulemaking on Customer Identification Programs (the “CIP Proposal”) that would require SEC-registered investment advisers (“RIAs”) and exempt reporting advisers (“ERAs”) to establish, document, and maintain written CIPs.
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May 23, 2024
European Union Releases AI ActThe AI Act sets forth comprehensive rules regarding AI transparency, data protection and oversight. The AI Act utilizes a risk-based approach that applies different requirements based on four categories of risk: unacceptable risk, high risk, limited risk and minimal risk.
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May 22, 2024
SEC Marketing Risk Alert and Exam FindingsThe Risk Alert noted that key violations stemmed from overt violations of prohibitions in the marketing rule, including requirements relating to adopting and implementing policies and procedures, maintaining records, and adequately responding to Form ADV items relating to performance advertisements.
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May 21, 2024
Morgan Lewis Plans to Host Technology Webinar SeriesSeveral of these programs may be of interest to fund directors as they plan to discuss engaging with AI vendors, the use of AI in financial services, and SEC enforcement risks around data analytics and AI.
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May 20, 2024
MFDF Webinar: Mutual Fund Director Compensation: The 2024 MPI Annual SurveyThe webinar will highlight aggregated compensation data received through confidential questionnaires, as well as SEC filings submitted by all fund industry complexes.
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May 16, 2024
EY Report Highlights How Boards Can Support Effective Use of AIThe EY Center for Board Matters released an article titled, “Four Ways Boards Can Support the Effective Use of AI” which highlights how boards can work with management to support the effective implementation and use of AI.
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May 15, 2024
Cboe Files for ETF Share ClassCboe’s application joins eight asset managers seeking to establish an ETF share class for certain open-end funds. Such relief would mimic the exemptive relief granted to Vanguard in 2000, which had been subject to a Vanguard patent that expired in 2023.
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May 14, 2024
Boston Consulting Group Releases Report on Generative AI for Financial InstitutionsThe paper discusses the differences around each classification of AI including predictive, generative, deep learning, and machine learning. The authors detail the multitude of possibilities for AI usage in financial services including risk and compliance, marketing, product development, and operational process, among others.
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May 13, 2024
MFDF and FUSE Research Fund Governance Survey on Committee StructuresMFDF has partnered with FUSE Research to collect data from fund boards on their practices around committee structures. All fund directors are encouraged to participate to provide for a representative data set that can serve as a basis for a report for boards on committee practices.
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May 9, 2024
SS&C Publishes White Paper on Interval FundsThe paper highlights the various structures that managers use to package liquid alternatives into retail products such as mutual funds, listed closed-end funds, tender offer and interval funds, as well as non-traded funds such as BDCs.
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May 8, 2024
FUSE Research Releases Data on Age Distribution of Independent Fund DirectorsAccording to the FUSE data, the average age of independent directors is 65.8 years. A little over 40% of boards have “at least one independent director aged 75 years or older” while 25% of independent directors are aged 60 or younger.
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May 7, 2024
House Committee Releases Report on Index Providers and Asset Mangers Investment in Chinese CompaniesThe report found that in 2023, certain financial institutions provided $6.5 billion to 63 Chinese companies that the U.S. government either blacklisted or red-flagged because they advance China’s military capabilities or support China’s human rights abuses.
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May 6, 2024
Event of Interest: Ropes & Gray to Host Webinar on Use of AI in Investment DecisionsRopes & Gray plans to host a webinar titled “Use of AI In Investment Decisions.” The program will examine how asset managers utilize artificial intelligence in investment activities.
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May 2, 2024
Division of Investment Management to Host Conference on Emerging TrendsThe conference, started in 2023 by former IM Director William Birdthistle, will feature remarks from SEC Chair Gary Gensler, Division Director Natasha Vij Greiner, as well as a state securities commissioner, the Chair of the PCAOB, and a member of the U.K. Financial Conduct Authority, among other panelists.
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May 1, 2024
DOL Releases Final Investment Advice Fiduciary RuleThe Department of Labor released a new set of rules for fiduciary investment advice titled, the “Retirement Security Rule.” Assistant Secretary for Employee Benefits Security Lisa M. Gomez stated, “The investment landscape has changed, the retirement landscape has changed, and it is critical that our regulations are responsive to those changes so that workers can reach the secure retirement that they work for decades to finally achieve.”
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