A Practical Guide to Market Conduct for Investment Managers
Latham & Watkins is pleased to announce the publication of the second edition of Market Conduct for Investment Managers, authored by London partner David Berman.
Market Conduct for Investment Managers offers practical guidance for buy-side investment professionals who face a range of market conduct issues, providing real-world insights, case studies, and useful scenarios designed to help navigate this often complicated area.
The second edition includes key updates on:
- The interplay between sustainable finance and the Market Abuse Regulation (MAR)
- Brexit implications
- Alternative data and MAR
- The impact of the post-pandemic hybrid working model
To find out more about MAR and other aspects of the UK’s regulatory regime, visit Latham & Watkins’ London Financial Regulatory Portal, a comprehensive repository of thought leadership and resources on the most significant developments impacting financial institutions and other market participants.