Every month, our London regulatory team publish articles, alerts and blog posts on a wide range of European regulatory topics relevant to asset managers. A selection of our October and November thought leadership is compiled below. To receive our posts in real time, sign up here.
- Consumer Duty and Client Categorisation
- Commission Delegated Regulations on Liquidity Management Tools for AIFs and UCITS
- Podcast: Decoding SFDR 2.0: Navigating the European Commission’s Proposed ESG Reforms
- FCA Multi-Firm Review: Consolidation in Financial Advice and Wealth Management
- ESMA’s Final Report on Management Bodies: What Boards Need to Prioritise Now
- SFDR 2.0 - The Impact for Asset Managers
- FCA Updates Treasury Select Committee on Non-Financial Misconduct: Now is The Time to Take Action
- FCA Review of UK Wealth Management M&A
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More than 300 Ropes & Gray partners, counsel and associates focus on advising a global client base of asset management firms, including fund sponsors, investors, and investment advisers, on all aspects of their business. Our experience across the entire spectrum of private and registered fund structures and vehicles, investment strategies, asset types and industries allows us to identify significant commercial, regulatory and economic issues, understand emerging trends and craft innovative solutions that are unique to the concerns of clients throughout the industry and in jurisdictions around the world. For further information on the practice, click here.
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