Standing out from the crowd – using technology to differentiate your investor relations process By Matthew Cartwright, Co-Founder and Co-CEO , investOrbit
Annex IV – Risk mitigation or excess regulation? By Matt Raver, Director, and Marina Thorpe, Director, Robert Quinn Consulting
Potential impacts of Basel III liquidity regulations on the prime broker / hedge fund dynamic By Edward Grissel, Prime Brokerage Sales, and John Duckitt, Financing Risk , Nomura International
One in five companies have experienced an investigation involving a company director By Francis Kean, Executive Director, Willis
Regulatory outlook for the private fund industry in 2015 By Don Seymour, Founder, DMS Offshore Investment Services
Product development opportunities – the ICAV, the Loan QIAIF and the Loan ELTIF By Aisling Costello, Senior Manager, Investment Management Advisory, and Brian Jackson, Partner, Audit Financial Services, Deloitte