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October 23, 2023
Event of Interest: Kirkland & Ellis to Host Webinar Series “Unlocking the Retail Market”Kirkland & Ellis plans to host a series of webinars entitled, “Unlocking the Retail Market.” The seven-part webinar series will explore retail access funds, one of the fastest-growing product areas.
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October 19, 2023
Event of Interest: Impact of Artificial Intelligence on Data Privacy, RiskPanelists will discuss how AI impacts data privacy, risk and governance today and actions organizations can take to prepare for responsible AI implementation.
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October 18, 2023
SEC 'Off-Channel' Communications Sweep Settlement UpdateThe Securities and Exchange Commission (SEC) announced settlements with 10 broker-dealers and affiliated investment advisers in connection with their failures to maintain and preserve electronic “off-channel” communications. These settlements follow a series of enforcement actions by the SEC and the Commodity Futures Trading Commission (CFTC), dating back to September 2022.
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October 17, 2023
California Passes, Signs into Law Two Climate Disclosure BillsThe “Climate Corporate Data Accountability Act,” requires disclosure of Scope 1, Scope 2, and Scope 3 greenhouse gas emissions by entities with revenue of at least $1 billion dollars. The second, the “Climate-Related Financial Risk Act” requires disclosure of an entity’s climate-related financial risk and the measures adopted to reduce and adapt to the risk so disclosed by entities with revenue of at least $500 million dollars.
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October 16, 2023
MFDF Webinar: ESG Data: Updates on an Evolving Regulatory and Product LandscapeThe Mutual Fund Directors Forum and ACA Global will host a webinar entitled, “ESG Data: Updates on an Evolving Regulatory and Product Landscape.” Luke Wilcox, head of ESG Data at ACA Global, will walk through what directors need to know to fulfill their oversight responsibilities.
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October 12, 2023
Fuse Research Report Highlights Board Leadership FindingsFuse Research released a report highlighting trends in independent director board leadership among registered funds. The report finds that nearly three-quarters of boards have an independent chair (51%) or a lead independent (23%).
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October 11, 2023
Morningstar Releases 2022 U.S. Fund Fee StudyMorningstar released the 2022 U.S. Fund Fee Study which highlights that fund fees in the United States are generally falling due to investor demand and competition among asset managers. The report estimates “investors saved nearly $9.8 billion in fund expenses last year.”
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October 10, 2023
MFDF Announces Election of Two New Board MembersThe Mutual Fund Directors Forum announced the election of two new members to the Forum’s Board of Directors: Mindy M. Posoff and Lloyd A Wennlund.
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October 10, 2023
Gensler Testifies During House Financial Services HearingSecurities and Exchange Commission (SEC) Chair, Gary Gensler, testified in front of the full House Financial Services Committee as part of the Committee’s focus on oversight of the agency. The hearing focused on a wide range of topics including, the pace and scope of the SEC’s rulemaking agenda, digital assets, private funds, capital formation, artificial intelligence, ESG disclosures, diversity disclosure for corporate boards, and legal challenges to the SEC’s rulemaking and actions.
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October 5, 2023
SEC Proposes Rule on AI Predictive AnalyticsThe Securities and Exchange Commission (SEC) proposed a rule to regulate potential conflicts of interest associated with broker-dealers’ and investment advisers’ use of AI-related technologies in their interactions with investors.
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October 4, 2023
Event of Interest: EY to Host Webinar on Cybersecurity Developments for Audit CommitteesThe EY Center for Board Matters plans to host a webinar entitled, “Audit Committee Responses to New Cybersecurity Developments.” The panel will discuss the latest perspectives on how audit committees can help enhance oversight of cyber and data privacy risks.
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October 3, 2023
Stradley, MFDF and Partners Release Updated Fair Valuation White PaperThe Mutual Fund Directors Forum and Stradley Ronon announce the release of the updated white paper “Practical Guidance for Fund Directors on Valuation Oversight.” The updated white paper examines the valuation of a fund’s portfolio securities, requirements surrounding fund valuation procedures, the board’s responsibility in overseeing valuation, and the responsibilities of the valuation designee under Rule 2a-5.
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October 3, 2023
Practical Guidance for Fund Directors on Valuation OversightIn October 2023, the Forum and Stradley Ronon released an updated version of the 2012 Valuation Oversight white paper entitled, “Practical Guidance for Fund Directors on Valuation Oversight.”
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October 2, 2023
MFDF Webinar: Exchange Traded Funds: A Market Update for Fund DirectorsThe Mutual Fund Directors Forum and presenters from Brown Brothers Harriman will host a webinar entitled, “Exchange Traded Funds: A Market Update for Fund Directors.” The discussion will include ETF investor interest areas, market trends impacting ETF sponsors, and developments in the active ETF space.
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September 28, 2023
Director Birdthistle Testifies in Capital Markets Subcommittee HearingDirector of the Division of Investment Management, William Birdthistle, testified in front of the House Financial Services Subcommittee on Capital Markets as part of a series of oversight hearings with SEC division directors. Many members of the Subcommittee voiced concern over the short comment periods and number of proposals the Commission has proposed under Chair Gary Gensler’s tenure.
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September 27, 2023
SEC Publishes Examinations Risk AlertThe Risk Alert notes there are more than 15,000 registered investment advisers managing over US$115 trillion in assets, and the SEC is able to examine approximately 15% of these advisers annually. Therefore, the SEC staff employs a risk-based approach to select advisers for examination.
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September 26, 2023
MFDF Webinar: Introduction to Retail Private Markets FundsTomorrow, the Mutual Fund Directors Forum and Simpson Thacher & Bartlett LLP will host a webinar titled, “Introduction to Retail Private Markets Funds: Structures to Access Private Equity, Private Credit, Infrastructure and Real Estate Investments.”
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September 25, 2023
Senate Banking Committee Hears Testimony from SEC Chair GenslerThe hearing covered a variety of issues including cryptocurrency regulation, swing pricing, the pace of rulemaking, private fund regulation, climate disclosure, and artificial intelligence, among other issues. On swing pricing and the hard close, Ranking Member Tim Scott (R-SC) noted his objection to the proposal stating it creates “a two-tiered system” and asked Chair Gensler if he was willing to rescind the proposal.
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September 21, 2023
SEC Finalizes Names Rule AmendmentsYesterday, the Securities and Exchange Commission by a vote of 4-1 advanced a final rule on Investment Company Names. The rule, originally proposed in May 2022, expands the number of funds that must comply with the Names Rule’s requirement to adopt policies to invest at least 80 percent of their assets in alignment with the fund’s chosen name, updates the rule’s notice requirements, and establishes recordkeeping requirements.
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September 20, 2023
Event of Interest: Dechert to Host California Investment Management SymposiaDechert plans to host the firm’s California Investment Management Symposia which will highlight the intersection of rapidly evolving market and technological developments with the adverse legal and regulatory environment for investment advisers, fund managers, and fintech firms.
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