


|
Regulatory Compliance Risk Management Corporate Control |
|
Events |
|
Publication |
Location |
Event |
|
01 Feb 2006 |
London, UK |
IMA— MiFID: the impact on International Investment Managers |
|
11 April 2006 |
London, UK |
SII—Anti Money Laundering: New Guidance |
|
10 & 11 May 2006 |
London, UK |
InfoLine—Risk and Controls Framework under UCITS III - |
|
13 June 2006 |
London, UK |
PRMIA—Changing Nature of Risk Management for Asset Managers |
|
Q2 2006 |
Singapore |
Compliance Asia—UCTIS III impact on Investment Managers |
|
13 & 14 July 2006 |
Singapore |
KPMG—Equity Derivatives: investments beyond equities |
|
26 Sept 2006 |
Singapore |
Compliance Asia— TCF, is it applicable to Asian regulated businesses? |
|
05 & 06 Oct 2006 |
Singapore |
KPMG—Pooled Investment Funds |
|
Nov 2006 |
London, UK |
Compliance Asia and NLT—Financial Regulation in Asia Pacific |