Because brokerage commissions are fund assets, fund directors have a responsibility to oversee how those commissions are used. Jim Burns, a partner at Willkie Farr & Gallagher LLP and former Deputy Director in the SEC’s Division of Trading and Markets, will discuss regulatory developments that may affect how funds approach best execution, as well as information that boards may wish to receive to evaluate their funds’ trading practices.
This webinar will be aired live from 2:00 to 3:00 Eastern Time on Wednesday, April 13, 2016. To register, click here.