|| July 17: "Fundamentals of Broker-Dealer Regulation 2017," sponsored by the Practising Law Institute, will be held in New York, NY at the PLI New York Center. Major changes in the broker-dealer industry and regulatory framework continue as a result of the financial services crisis, the resulting regulatory reform and a new Administration that is providing a fresh and comprehensive examination of financial services regulation. At the same time, broker-dealers are subject to intense regulatory exam and enforcement scrutiny. This program will provide attendees with a solid foundation in the regulatory regime applying to broker-dealers, including what to expect next regarding broker-dealer regulation. Attendees will learn how the Securities Exchange Act of 1934, FINRA rules and state securities laws interact in governing the brokerage industry. Attendees will also learn about recent exam and regulatory enforcement activity by the SEC, FINRA, and the states and about how broker-dealers are responding to these developments and the challenges ahead for the industry. A distinguished faculty will offer insights into recent rulemaking that is having a far-reaching impact on the day-to-day operations of firms. For further information and to register for this event, call 800-260-4PLI or visit www.pli.edu
Regis Fee: $1,695.00.