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October 29, 2024
Broadridge Releases Fund Fee Trend ReportThe report highlights the increased fee pressure asset managers are facing and the analysis of the resulting impact. The report found “[o]ver the past ten years, asset-weighted total expenses for both actively managed funds and passively managed funds (including ETFs) have trended downward” with the largest decreases seen in the US and the UK.
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October 28, 2024
Event of Interest: Ropes & Gray to Host Securities Enforcement Forum 2024The program will feature current and former senior SEC officials, securities enforcement and white-collar attorneys, in-house counsel and compliance executives, and other industry professionals. The Securities Enforcement Forum will showcase a Keynote Address by the SEC's Acting Director of Enforcement, Sanjay Wadhwa.
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October 24, 2024
Event of Interest: EY to Host Post-Election PanelThe program will explore the immediate and long-term effects of the election results, as well as an early assessment of how these outcomes could influence legislative and regulatory shifts.
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October 23, 2024
Nasdaq White Paper Highlights Cyber Preparedness Protocols for BoardsIn a White Paper from the Nasdaq Center for Board Excellence titled “Navigating the Cybersecurity Disclosure Conundrum” the authors highlight the major challenges in cybersecurity oversight, including where to draw the line between management’s role and the board’s role.
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October 22, 2024
Event of Interest: Diligent Webinar Covering AI and GovernanceThe program will focus on key considerations for adopting AI that can streamline governance processes and enhance decision-making.
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October 21, 2024
Event of Interest: ACA Webinar Highlights Cyber Breaches of 2024The program will discuss the most impactful cybersecurity incidents of 2024 as well as insight on how to manage or respond to an incident, should it happen.
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October 17, 2024
Gensler Delivers Remarks at Treasury Market ConferenceChair Gensler noted that the U.S. transition to T+1 for equities, corporate bonds, and municipal securities was a “win” for investors. He noted that industry participants “worked, along with SEC staff, to make the transition happen smoothly.”
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October 16, 2024
McKinsey Report Highlights Key Aspects of Private CreditThe report emphasizes that while private credit is here to stay, “careful monitoring of short-term risks is still necessary, particularly in the event of an economic downturn in which a range of loans may become stressed or distressed.”
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October 15, 2024
Banking Ranking Member Scott Releases Priorities for 118th CongressIncluded under the stated “Regulatory Oversight” bullet point are priorities that reduce the burden of agency action and ensure that each agency the Committee has oversight of is acting within the bounds of their statutory authority.
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October 10, 2024
SEC Charges Independent Director for Proxy Disclosure Rule ViolationsThe complaint highlighted that Mr. Craigie had a personal relationship with a member of the Church & Dwight executive team including frequent vacations which the executive paid for, as well as attempts to conceal the personal nature of the relationship from other board members. Mark Cave, Associate Director of the SEC’s Division of Enforcement stated, “By concealing his relationship with a company executive, Mr. Craigie undermined the board’s director independence process and compromised the company’s disclosures.”
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October 9, 2024
SEC Chair Gensler, Commissioners Venture to Capitol Hill to TestifyThe hearing covered a variety of topics including closed-end funds, crypto assets and custody, the pace of rulemaking, Treasury clearing rules, short selling, access to capital, artificial intelligence, and cybersecurity, among other issues. In his opening remarks, House Financial Services Committee Chair Patrick McHenry (R-NC) noted, “It’s not just the courts that have taken issue with Chair Gensler’s reckless agenda. More than 250 Members of Congress from both parties have signed dozens of letters opposing actions taken by the SEC.”
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October 8, 2024
Sidley Releases Second Half of Interview with MFDF President Carolyn McPhillipsSidley Austin’s Jay Baris and MFDF President Carolyn McPhillips recently discussed the 100th anniversary of the mutual fund and detailed the important oversight function independent directors have within the registered investment company space. On swing pricing, Ms. McPhillips noted an overwhelming number of industry participants opposed the SEC’s proposal and noted that the reasoning for the proposal lacked a clear connection to the problem the SEC attempted to solve for.
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October 7, 2024
MFDF Webinar: Distribution 101 for Fund BoardsMFDF will be joined by Fran Cashman, independent trustee the Morgan Stanley Funds' board, and John Krieg, CFA, CAIA, formerly the Managing Director of North American Distribution for UBS Asset Management as they plan to discuss the fundamentals of distribution that fund directors need to know to fulfil their oversight duties.
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October 3, 2024
SEC Announces Virtual National Compliance Outreach SeminarThe program, part of the SEC’s Compliance Outreach Program, is intended to “help Chief Compliance Officers and other senior personnel at investment companies and investment advisory firms enhance their compliance programs for the protection of investors.”
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October 2, 2024
SEC Charges Registered Investment Adviser with Overvaluing Certain SecuritiesMacquarie settled the charges and will pay over $79 million in penalties, disgorgement, and pre-trial interest. Eric I. Bustillo, Director of the SEC’s Miami Regional Office noted that “utilizing a third-party pricing service does not negate an investment adviser’s obligation to value assets accurately.”
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October 1, 2024
MFDF Webinar: Barrington Partners 15(c) for ETFsDuring this session, Hubbard Garber and Jeffrey Christian will focus their insights for ETF board directors on a range of new products, drivers of strategy, and how to best think about peers.
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September 30, 2024
MFDF Webinar: ABCs of ETFs for Fund BoardsWard and Ira will discuss active ETFs relative to mutual funds, why the active ETF market is growing, the portfolio management mechanics of active ETFs, distribution of active ETFs, key questions boards should ask as well as a few common questions they tend to hear on ETFs.
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September 27, 2024
Board Oversight of Advisory Agreement Renewals - Part 1: Regulatory Requirements and Judicial CaselawIn September 2024, MFDF released Board Oversight of Advisory Agreement Renewals - Part 1: Regulatory Requirements and Judicial Caselaw.
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September 27, 2024
MFDF Releases Part 1 in 15(c) White Paper SeriesPart 1 of the 15(c) White Paper provides a concise and comprehensive background of regulatory requirements and judicial caselaw relating to the 15(c) process.
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September 26, 2024
MFDF Webinar: 15(c) White Paper Webinar Series: Regulatory Requirements and Judicial Caselaw (Part 1)The program will discuss the requirements fund directors must assess when analyzing whether to approve a fund’s advisory agreement.
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