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Regulatory Review Newsletter
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LIMRA Regulatory Review

Each issue of this free bimonthly newsletter addresses crucial regulatory concerns from around the world, and provides broker-dealers, investment advisers, and insurance companies with suggestions for meeting their regulatory obligations.

newsletterLRR Issue 2010-3 (May 2010)
  • US: Recordkeeping Critical to Comply With Rule 2330
  • US: How to Succeed as a Chief Compliance Officer
  • US: Focus on FINRA RN 10-06: The Principle of Adoption in Social Media
  • Canada: The Challenges and Rewards of Risk-Based Regulation
  • Global: The Spirit of the Times: A Global View of Regulation
newsletterLRR Issue 2010-2 (March 2010)
  • US: Effective Complaint Handling
  • US: The Future of Target Date Fund Investing in Participant-Directed Retirement Plans
  • Asia: Taiwan Regulatory Concern: Sales Practices
  • Latin America: Insurance and Reinsurance Monopolies — Is It Really the End?
  • Global: Compliance Training Programs in Asia, Latin America, and the Caribbean
 
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