Environmental, social, and governance disclosure issues, fiduciary duty as it relates to investment advisers and registered broker-dealers, investor education, and money market funds are among the items on the agenda for next week, when a committee created to offer input on investor concerns to the Securities and Exchange Commission holds its next public meeting.
The SEC Investor Advisory Committee, led by AARP Financial President Richard Hisey and TIAA-CREF Head of Corporate Governance Hye-Won Choi, is set to meet May 17. The meeting will be open to the public and Webcast on the SEC’s Website. Compliance Week will provide readers with detailed coverage of the event in an upcoming edition.



