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Morgan Lewis | Webinar – SEC Standards of Conduct: Navigating New Requirements for Retail Advice Disclosures
Join us for a focused discussion of new and enhanced disclosure requirements for retail advice under the Securities and Exchange Commission's Form CRS, Regulation Best Interest, the Interpretation of the Standard of Conduct for Investment Advisers, and the Certified Financial Planners Board's Standard of Conduct.
Topics include:
  • Overview of disclosure requirements for broker-dealers and investment advisers
  • How to operationalize a holistic approach to disclosures and where to start
  • Layered disclosure structures
  • Treatment of conflicts of interest
  • Supporting CFP professionals' obligations under the new standards
  • Maintaining consistent disclosures over time
 
Credit
CLE credit in CA, IL, NY, PA, TX, and VA is currently pending approval. Credit in CT, FL, and NJ is pending approval via reciprocity.
Register Now
When
Tuesday,
September 10, 2019

12:00–1:15 pm ET
9:00–10:15 am PT
Presenters
Lindsay Jackson
Partner | Washington, DC
Jennifer Klass
Partner | New York
Dan Kleinman
Partner | Washington, DC
Christine Lombardo
Partner | Philadelphia
Monica Parry
Of Counsel | Washington, DC
Brian Baltz
Associate | Washington, DC
Natalie Wengroff
Associate | Washington, DC
Kyle Whitehead
Associate |Washington, DC
Questions?
Contact Bernice Kyereme.
 
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