Kristin Boggiano – Speaking Engagements

John Lothian Summer Education Series, July 2016

“Evolution and Opportunities in Asset Management,”  SIFMA, October 2015

“Extraterritoriality and International Regulations,” City Bar of NY, June 2014

“Navigating Buy-side Risks for Trading Documentation,” Risk.net, April 2014

“Segregation of Initial Margin for Uncleared Swaps,” SRZ Webinar, April 2014

“The Onboarding Process,” ISDA: The Evolution of OTC Trading, March 2014

“Current Issues in Derivatives Documentation,” ISDA: An Examination and Review for the Buy-side, March 2014

“G-20 Reporting Requirements,”  ISDA, February 2014

“Swap Execution Facilities: The Onboarding Process,” SRZ Webinar, February 2014.

“CFTC and Derivatives Update” SRZ 23th Annual Private Investment Funds Seminar, January 2014

“Swap Execution Facilities: The Evolution of OTC Trading: The Onboarding Process”  ISDA, December 2013

“The New Entrants to the World of Trading Swaps,” Women in Derivatives Seminar, November 2013

“Swap Executions Facilities: Operational, Technical and Legal Issues,”  NYSBA Structured Products & Derivatives Law Committee Luncheon, October 2013.

“Trading Documentation: You are Only as Strong as Your Weakest Link,” SRZ Webinar, October 2013.

“Impact of Trade Execution Rules and the Changing Landscape of Swap Trading,” SIFMA Conference, September 2013.

“CFTC U.S. Person Definition and the Scope of EMIR: The Impact on Hedge Fund Managers,” SRZ Webinar, September 2013.

“Developments in Custodian Relationship,” ISDA Collateral Initiatives Conference — Regulation, Documentation and Operations, June 2013

“What Private Funds Need to Know About Title VII of Dodd-Frank,” SRZ Webinar, April 2013

“Developments in Custodian Relationship,” ISDA, March 2013

“Form PF Workshop,” SRZ 22nd Annual Private Investment Funds Seminar, January 2013

“Financial Markets in Turmoil: Impact on the Global Economy,” Women in Derivatives Seminar, February 2012

“The Impact of Regulation on Private Funds,” SRZ 20th Annual Private Investment Funds Seminar, January 2011

“Central Clearing of Derivatives: What Investment Managers Need to Know,” SRZ Investment Management Hot Topics, June 2010

“Recent Legislative Developments for Hedge Funds,” NYSBA Structured Products & Derivatives Law Committee Luncheon, September 2009