Chicago Booth alumni, current students, and corporate partners gather to discuss the impact of a changing regulatory landscape on hedge funds.
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Event Details
In recent years, hedge funds have been at the forefront of government financial regulation. Regulatory changes have resulted in stricter controls, laws, and more detailed investigations imposed by governing agencies. Will increased regulations demystify the hedge fund industry? How will regulation prepare the industry for greater levels of investor protection? As regulation raises compliance and reporting costs for hedge fund managers, how will this effect increasingly squeezed hedge fund fees? Is there a point at which the cost of business will outweigh the benefits for hedge fund managers?
Throughout the evening, attendees will have the opportunity to engage with both the panelists and fellow attendees.
You should register if you currently work in hedge funds or investment management and want to stay abreast of current and future trends in your industry or if you would like to broaden your network of people who have an interest in hedge funds or investment management.
Program
6:30 PM-7:00 PM: Networking
7:00 PM-8:00 PM: Panel and Q&A
8:00 PM-9:00 PM: Networking
Speaker Profiles
Michele Ilene Ruiz, JD '94 (Moderator) '94
Partner, Sidley Austin LLP
http://www.sidley.com/
Joshua Mangoubi, '09 (Panelist) '09
Portfolio Manager, Sanborn Kilcollin Partners, LLC
http://www.sanbornkilcollin.com/
Jonathan Moog, '05 (Panelist) '05
Principal, Lizard Investors LLC
http://www.lizardinvestors.com
John O. Keshner (Panelist)
Managing Director, The Northern Trust Company
http://www.northerntrust.com
Emma Rodriguez-Ayala, JD '06 (Panelist)
Managing Director, General Counsel, Mesirow Advanced Strategies
https://www.mesirowfinancial.com
Questions
Rebecca Halloran
Senior Associate Director, Career Management
3124648688