Our attorneys have extensive knowledge of the full range of issues involved in fund formation and ongoing operational and compliance matters in nearly all strategies, including hedge, private equity, real estate, and venture capital.

Private Investment Funds
Our Approach
We bring a unique perspective on the market, drawing from our extensive experience representing both managers and investors. We provide Limited Partner representation to the full spectrum of investors, including ultra-high-net worth individuals and family offices, tax-exempt organizations, sovereigns, and other institutional investors. Our team’s experience on some of the most complex GP led liquidity transactions, secondary transactions, and co-investments in the past decade allows us to provide comprehensive advice to asset managers in all aspects of their business.
We provide ongoing regulatory advice regarding the Investment Company Act, the Investment Advisers Act, the Commodity Exchange Act, ERISA, tax, and broker-dealer/FINRA regulations. We assist our clients with SEC regulatory issues, including responses to SEC examinations, and our attorneys are able to draw on their experience working at the SEC to provide holistic, practical advice to clients.
Clients Include
- Sponsors/Asset Managers
- Banks & Financial Institutions
- Investors & Limited Partners
- Tax exempt organizations
Focus
- Fund Formation & Operations
- Secondaries (both by Investors and GP-Led)
- Seed Transactions
- Fund M&A/GP Stakes
- Preferred Equity Financings
- NAV Facilities
- Regulatory Compliance
- Tax Planning and Strategy
- SEC Examinations