PHILADELPHIA – Stradley Ronon Partner
Lawrence P. Stadulis served as a co-instructor for the Investment Adviser Certified Compliance Professional webinar on Sept. 15. Stadulis co-instructed the program, entitled, “Form ADV Part 1: Annual Updating Amendment and More,” which covered Form ADV Part 1 and examined disclosure requirements that impact all advisers.
Stadulis chairs Stradley Ronon’s
broker-dealer regulatory group, and co-chairs the firm’s
fiduciary governance group and
investment advisers group. He advises clients in matters pertaining to the registration and regulation of investment advisers and investment companies under federal and state securities laws. Stadulis also manages related issues pertaining to investment advisers and investment companies, including matters involving ERISA, broker-dealer regulation and banking laws.
About Stradley Ronon
Counseling clients since 1926, Stradley Ronon has helped private and public companies – from small businesses to Fortune 500 corporations – achieve their goals by providing pragmatic, value-driven legal counsel. With offices in eight strategic locations, our responsive team of more than 200 attorneys seamlessly addresses the full spectrum of our clients’ needs, ranging from sophisticated corporate transactions to complex commercial litigation.