United States: Complimentary Teleconference – Keeping Up With Regulatory Developments Affecting Social Media Use
Last Updated: June 14 2017

Thursday, June 15, 2017
12:00 p.m. – 1:00 p.m. EDT

This session will focus on the considerations for issuers, broker-dealers, registered investment advisers, and commodity pools in using social media, whether for corporate communications or in the context of securities offerings.

Topics of discussion will include:

  • Reg FD and other liability concerns;
  • FINRA guidance on communications and social media;
  • Social media for "business" versus "personal" use by employees of financial services firms;
  • SEC guidance for investment advisers;
  • General solicitation; and
  • CFTC and NFA guidance for funds.

For more information, or to register, please click here.

To print this article, all you need is to be registered on Mondaq.com.

Click to Login as an existing user or Register so you can print this article.

Some comments from our readers…
“The articles are extremely timely and highly applicable”
“I often find critical information not available elsewhere”
“As in-house counsel, Mondaq’s service is of great value”

Press Releases from this Firm
Recent Content from this Firm
By Henry Fields, Oliver Ireland, Jiang Liu, Barbara Mendelson, Marc-Alain Galeazzi, Meghan Dwyer, Mark Sobin
By J. Alexander Lawrence, Janie Buckley
By Robert Falk
By Joseph Gabai, Susan I. Gault-Brown
By Locke Bell
By Obrea Poindexter, Crystal Kaldjob, Amanda J. Mollo
By Richard Fischer, Obrea Poindexter, Trevor Salter
By Damien C. Specht, Ethan Marsh, Victoria Dalcourt
By James Tucker, Victoria Dalcourt
By Tessa Schwartz, Ali Zaidi
Font Size: