School of Law - Fall 2012 Law Review Symposium

October 12, 2012 8:30 - 7:00 PM
St. John's University | Manhattan Campus | 101 Murray St. | New York, NY 10007

Revolution in the Regulation of Financial Advice: The U.S., the U.K. and Australia

Recently, Australia and the U.K. have been carrying out radical reforms in compensation practices for investment advice to retail customers. These reforms contrast sharply with the normal U.S. practices of transparency and increased disclosure requirements. The Symposium will feature panelists from the U.S., Australia and the U.K. exploring recent developments in the regulatory regimes of those countries. Specifically, panelists will discuss the future of investment adviser regulation after Dodd-Frank in the U.S., the Future of Financial Advice in Australia and the Retail Distribution Review in the U.K. The Symposium will also examine the benefits of different regulatory plans ranging from mandatory disclosure to more substantive regulation preventing conflicts of interest.

Hosts
St. John’s Law Review
St. John’s Center for International and Comparative Law
St. John’s Corporate and Securities Law Society

Date
Friday, October 12, 2012

Time
8:30 a.m. – 7 p.m.

Location
St. John’s University Manhattan Campus
101 Murray Street
New York, NY 10007

Co-Chairs

  • Lisa A. Catalano, Professor and Director, Securities Arbitration Clinic, St. John’s School of Law
  • Francis J. Facciolo, Professor, St. John’s School of Law
  • Christine Lazaro, Supervising Attorney, Securities Arbitration Clinic, St. John’s School of Law

Agenda

8:30 a.m.
Coffee and Registration

9 a.m.
Introduction to Symposium
Francis J. Facciolo, Professor of Law, St. John's School of Law

9:10 a.m.
Introductory Remarks
Michael A. Simons, Dean and John V. Brennan Professor of Law and Ethics, St. John's School of Law

9:20 a.m.
Opening Remarks
Brian Shea, Chief Executive Officer, Pershing LLC, a BNY Mellon company

10:30 a.m-Noon
Panel 1: The Future of Fiduciary Duties for Financial Advice
Moderator: Christine Lazaro, Supervising Attorney, Securities Arbitration Clinic, St. John’s School of Law

  • Ryan K. Bakhtiari, Partner, Aidikoff, Uhl & Bakhtiari
  • Mercer E. Bullard, Professor, University of Mississippi School of Law
  • Andrew J. Melnick, Partner, Schindler Cohen & Hochman LLP
  • Paul R. Walsh, Vice President, Assistant GC & Compliance Director, JP Morgan Chase

Noon-12:45 p.m.
Lunch

12:45 p.m.
Introduction to Keynote Speaker
Amanda Jaret '13, St. John’s School of Law

12:50 -1:45 p.m.
Keynote Speaker

Phyllis C. Borzi, Assistant Secretary of Labor, Employee Benefits Security Administration

2-3:30 p.m.
Panel 2: The Structure of Regulation for Investment Advisers: A Self-Regulatory Organization or Not?
Moderator: Lisa A. Catalano, Professor and Director, Securities Arbitration Clinic, St. John’s School of Law

  • Jeffrey J. Haas, Professor, New York Law School
  • Anita K. Krug, Professor, University of Washington School of Law
  • Mark Tibergien, CEO, Pershing Advisor Solutions
  • David Tittsworth, Executive Director/Executive Vice President, Investment Adviser Association

3:45-5:15 p.m.
Panel 3: International Issues in the Regulation of Financial Advice
Moderator: Francis J. Facciolo, Professor, St. John’s School of Law

  • Richard Batten, Partner, Minter Ellison
  • Arthur B. Laby, Professor, Rutgers University School of Law-Camden
  • Gerard McMeel, Professor, University of Bristol Law School & Guild Hall Chambers, Bristol
  • Gail Pearson, Professor, The University of Sydney Business School

5:15  p.m.
Concluding Remarks
Francis J. Facciolo, Professor, St. John's School of Law

5:30-7 p.m.
Cocktail Party

Continuing Legal Education (CLE)
The full-day Symposium qualifies for 4.5 non-transitional CLE credit hours. The CLE fee is $112.50 for St. John’s School of Law alumni and $225 for non-alumni. No partial credit will be awarded. Hardship tuition reduction is available. Please complete and return the CLE payment form by Tuesday, October 9, 2012 to receive CLE credit for attending the symposium.

Registration
There is no fee to attend the symposium, but registration is required. Please complete and submit the online registration form by October 5, 2012.

More Information
Amanda Jaret
Symposium Editor, St. John’s Law Review
RevRegConference.SJULRev@gmail.com
(516) 996-8612