Morgan Lewis

New York

New York

publications

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03/12/08 NRS Investment Adviser Compliance Training, New York

Presentation | Speech
Christopher Menconi

05/23/07 How Investment Firms Manage and Disclose Conflicts: What Do Regulators Expect?, presented at the Alliance Bernstein Subadvisory Compliance Conference, New York

Presentation | Speech
Steven Stone

03/20/07 Administration Best Practices: Implementing and Maintaining Effective Soft Dollar Program, presented at IIR's 14th Annual Soft Dollar Practices Forum, New York

Presentation | Speech
Steven Stone

03/19/07 Disclosure Issues in Connection with Side Pockets and Side Letters, presented at West Legalworks New Frontier in Hedge Fund Due Diligence, New York

Presentation | Speech
Steven Stone

03/13/07 Developing and Administering Your Firm-Wide Code of Ethics, presented at the Second Annual Chief Compliance Officer Workshop, New York

Presentation | Speech
Dianne Sulzbach

03/05/07 SEC Regulatory Update, presented at ETF Evolution 2007: Changing the Landscape, New York

Presentation | Speech
W. John McGuire

02/26/07 Implications of Reg NMS on Best Execution for Broker/Dealers and Investment Advisers (moderator), presented at FRA's 5th Annual Best Execution Symposium, New York

Presentation | Speech
Theodore Lazo

02/14/07 The Anatomy of a Deal: Dissecting the Bio-Bucks, presented at the BIO CEO and Investor Conference, New York

Presentation | Speech
Randall Sunberg

01/30/07 Anti-Money Laundering: Where Do Investment Advisers Fit In?, presented at the 7th Annual IA Compliance Forum, New York

Presentation | Speech
Beth Kiesewetter, Mark Matthews

01/30/07 Best Execution and Brokerage Practices, presented at the 7th Annual IA Compliance Forum, New York

Presentation | Speech
Steven Stone

01/23/07 Understanding Governance in IT Shared Services and Outsourcing: Legal, Illegal and Plain Old Arm-Twisting, presented at the IT Governance Summit 2007, Coconut Grove, FL

Presentation | Speech
Akiba Stern

01/17/07 A Plan for an Annual Compliance Review & Keeping Ahead of the Regs, presented at the FRA's 2nd Annual Best Practices for Conducting the Required Annual Compliance Review for Investment Advisors, New York

Presentation | Speech
Steven Stone

11/13/2006 Securities Industry Association, presented at the Compliance and Legal Division Fall Compliance Seminar, New York

Presentation | Speech
Ben Indek

11/15/06 Monitoring, Managing, and Retaining Email and Other Electronic Activity to Comply with Advisors Act, presented at the 3rd National Forum on Hedge Fund Compliance, New York

Presentation | Speech
P. Georgia Bullitt

11/03/06 Legal Requirements of Outsourcing, presented at the Institute for Supply Management New York/New Jersey 6th Annual Conference, Binghamton, NY

Presentation | Speech
Restituto Yuson, III

11/02/06 A Survey of the Regulatory Landscape - Using Past Precedent to Avoid Possible Pitfalls, presented at the ING Variable Annuities Regulatory Forum, New York

Presentation | Speech
E. Andrew Southerling

11/02/06 IA and Investment Company CCOs, presented at the Investment Advisor Association's Compliance Workshop (multiple cities)

Presentation | Speech
P. Georgia Bullitt

11/01/06 HRO Meets the Real World: Reality, Truths, Myths, and Legends, presented at the Human Impact of Outsourcing Symposium, The Wharton School, University of Pennsylvania, Philadelphia

Presentation | Speech
Edward Hansen

10/24/06 New Rules of the Road for Brokers Offering Investment Advice, presented at the FRA's Dual Registrant Symposium, New York

Presentation | Speech
Steven Stone

10/24/06 Outsourcing — Negotiating the Tough Provisions, presented at the Association of Corporate Counsel 2006 Annual Meeting, San Diego

Presentation | Speech
Edward Hansen


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