Investment Adviser Custody Issues Post-Madoff

7 December 2017


Boston Bar Association
16 Beacon Street
Boston, MA
United States of America


Investment Adviser Custody Issues Post-Madoff, presented by the Boston Bar Association, is an hour seminar in which the history of Rule 203(4)-2 under the Investment Advisers Act and its evolving requirements, will be discussed. Topics will include the impact of recent SEC staff guidance issued in February 2017 and how investment advisers can ensure that they remain compliant.

Boston partner Michael McGrath is a present at this conference.

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