May 10, 2016

Metropolitan Club — New York, NY

MFA Compliance provides an unparalleled one day agenda focused on comprehensive advice around the implementation of and compliance with regulatory reforms affecting impacting hedge funds and their investors. The speaking faculty is comprised of regulators, former regulators and chief compliance officers and attorneys who collectively engage in a dynamic dialogue to provide practical advice on the most current regulatory compliance issues. The agenda is designed specifically by an advisory board of the industry’s leading general counsels and chief compliance officers and focuses specifically on issues related to their top business interests and concerns. All panels are moderated by MFA member chief financial officers, general counsels, chief operating officers and chief compliance officers and feature top outside legal counsel as well as select industry experts who are leaders in their respective fields. Conference delegates are typically legal and compliance professionals and MFA applies for CLE and CPE credits for each panel discussion.