June 2, 2017 Nir Yarden

Regulatory Changes: Impact on Energy and Financial Service Companies

Regulatory Changes

 

Please join me for a special event that I organized and am moderating for the New York Society of Security Analysts (NYSSA) in my role as Chair of the Regulation and Market Integrity Leadership Group.

As Founder and Principal of Yarden Law Firm, it is important to me to work with NYSSA, a leading forum for the investment community whose membership consists of portfolio managers and investment analysts. The focus on regulations and their impact on different sectors from an investment perspective is a new initiative that I’m spearheading at NYSSA.

I hope you can join me for two panel discussions that will explore how current and anticipated regulatory changes will impact two critical investment sectors: energy and financial services. Details, including speakers, are listed below.

WHEN & WHERE

Regulatory Changes: Impact on Energy and Financial Service Companies
June 6, 5-8pm (registration opens at 4:30pm)
NYSSA Conference Center | 1540 Broadway #1010

 

SPEAKERS

Nir Yarden
Founder & Principal, Yarden Law Firm, LLC

Bradley Ball
Financial Sector Strategist, UBS

Brian Golob
Principal, Conduct & Regulatory Risk Management, Greenwich Associates; Former Global General Counsel & Chief Compliance Officer, Russell Investments (2009-2017)

Adam Gilbert
Risk and Regulatory Co-Leader, PwC Financial Services Advisory

Mark Menting
Partner, Financial Services Group, Sullivan & Cromwell LLP

Avi Garbow
Partner, Gibson, Dunn & Crutcher; Former General Counsel, U.S. Environmental Protection Agency (2013-2017)

Diana Liebmann
Partner, Haynes & Boone, LLP (Power & Utilities)

George Hopkins
Partner, Vinson & Elkins LLP (Oil & Gas)

 

NYSSA