Investment Funds: U.S.

Similar documents
Investment Management

A good financial product and a good law firm have more in common

Counseling companies and stakeholders to ensure compliance, business integrity and long-term success

Private Funds. A leading global private funds practice. Gus Black. David A. Vaughan. Key Contacts. Partner London

A good financial product and a good law firm have more in common

STRUCTURED AND MARKET-LINKED PRODUCTS

Mitchell E. Nichter. San Francisco. Practice Areas. Senior Counsel, Corporate Department

For more than 175 years, Baker Botts has been among the leading law firms in the world. Today, with 725 lawyers based in 14 offices around the world,

For 175 years, Baker Botts has been among the leading law firms in the world. Today, with 725 lawyers based in 14 offices around the world, the firm

As close as you need, as far as you go

Washington, D.C. MONDAY, DECEMBER 10, 2012 (All times Eastern Standard Time)

Pinsent Masons in Spain

David A. Hearth. San Francisco. Practice Areas. Admissions. Education. Partner, Corporate Department

Washington, D.C. WEDNESDAY, NOVEMBER 2, 2011 (All times Eastern Daylight Time)

NOTICE GENERAL INFORMATION TO BE COMPLETED BY ALL APPLICANTS

Washington, D.C. WEDNESDAY, NOVEMBER 11, 2015 (All times Eastern Standard Time)

Derivatives and Commodities

Lance A. Zinman. Partner West Monroe Street Chicago, IL Practices

RBC United States Capabilities

Retired Partner T F

F R E Q U E N T L Y A S K E D Q U E S T I O N S A B O U T C L O S E D - E N D F U N D S

Retired Partner T F Investment Funds: U.S. > Variable Insurance Products > Investment Advisers > Mutual Funds >

Litigation & Dispute Resolution

LET S START A CONVERSATION. ATTORNEYS AT LAW

Banking and Financial Institutions

Why choose us? United States.

FRANKLIN TEMPLETON INVESTMENTS. Franklin Resources, Inc. Bank of America Merrill Lynch Banking and Financial Services Conference November 18, 2010

Dechert and the Law Firm of Hassan Mahassni

Steadfast Insurance Company Application for Investment Adviser and Mutual Fund Professional and Directors and Officers Liability Insurance

BLX Group LLC. 777 S. Figueroa St., Suite Los Angeles, California CRD Number

Now is the Time for Registration as an Investment Adviser. January 17, 2012

COMMITTEE LETTER Commenting on the Retail Foreign Exchange Market

The Strength of Partnership:

MULTI-MANAGER ALTERNATIVE STRATEGIES FUND A SERIES OF COLUMBIA FUNDS SERIES TRUST I 225 Franklin Street Boston, MA INFORMATION STATEMENT

World Compass Who We Are

United States. Bryan Chegwidden, James Thomas and Sarah Davidoff Ropes & Gray LLP. Country Q&A. Investment Funds Handbook 2011.

FUND SUMMARY: TCG CASH RESERVE MONEY MARKET FUND

Global Stock Plan Services

Blockchain. Technologies. Team Overview. Seyfarth Shaw Blockchain Technologies 1

Jackie Prester. Overview. Representative Matters. Shareholder

Henry Bregstein. Partner New York p Practices. Industries. Recognition

PRIVATE CAPITAL ADVISORY SERVICES EXPERTS WITH IMPACT TM

Dodd-Frank Reform. January 01, 2017

Lead Lead the next wave of anticipated growth in the asset management industry by launching a fund through Two Roads Shared Trust.

ADVANCED TOPICS IN INVESTMENT MANAGEMENT

Christopher A. Rea, CRPS. Corporate Retirement Director Financial Advisor

2018 Summary Prospectus

San Francisco, California TUESDAY, NOVEMBER 5, 2013 (All times Pacific Standard Time)

BUSINESS DEVELOPMENT COMPANIES

Securities (the Fund ) WisdomTree Emerging Markets Dividend Fund. WisdomTree International Quality Dividend Growth Fund

Hatteras Core Alternatives Institutional Fund, L.P. Hatteras Core Alternatives TEI Institutional Fund, L.P. (the Funds )

International. Contact us to learn more about our International Tax practice. Partnering With Our Colleagues. U.S. corporate tax directors and

Financial Services and Investment Management Litigation & Enforcement

State of Transaction Opinions

IPS RIA, LLC CRD No

Seasoned International Tax Professionals

IOWA THE HARTFORD PREMIER ASSET MANAGEMENT PROTECTION POLICY sm APPLICATION

WEALTH MANAGEMENT EXPERTS Helping you become your clients key advisor.

Part 2A of Form ADV: Firm Brochure

NFP Executive Benefits

Information Circular: PowerShares Exchange-Traded Fund Trust II

MANAGE YOUR SHARE REGISTRY EFFICIENTLY

U.S. Department of Labor Finalizes Fiduciary Definition and Conflict of Interest Rule

Firm Brochure (Part 2A of Form ADV) March 15, 2018

WEDNESDAY, NOVEMBER 4, 2009 (All times Eastern Standard Time)

BRINGING YOU INNOVATIVE LEGAL SOLUTIONS. Attorney Advertising

SeaCrest Wealth Management, LLC. Form ADV Part 2A Disclosure Brochure

Firm Brochure (Form ADV Part 2A) Firm Brochure Supplement (Form ADV Part2B) Privacy Noticee Proxy Voting Policy

THIS IS AN APPLICATION FOR A CLAIMS MADE POLICY

Lynn A. Neils PARTNER EDUCATION AND HONORS

Federal Banking Agencies Propose New Guidance on Leveraged Finance

WE ARE THAT AND MUCH MORE. Collaboration. Innovation. Results

Wells Fargo/Galliard Ultra-Short Bond CIT COLLECTIVE FUND DISCLOSURE

VIVALDI OPPORTUNITIES FUND PROSPECTUS

November 24, Asset Security with Charles Schwab & Co. Inc.

VARIABLE PORTFOLIO PARTNERS SMALL CAP GROWTH FUND A SERIES OF COLUMBIA FUNDS VARIABLE SERIES TRUST II 225 Franklin Street Boston, MA 02110

A Retirement Plan for Engineers... by Engineers

Employee Benefits. Putting It All Together. Attorney Advertising

POGSON & MATT WEALTH MANAGEMENT GROUP, LLC WRAP BROCHURE

The Shifting Landscape of DOL Fiduciary Rule Implementation

Investments. ALTERNATIVES Build alternative investment portfolios. EQUITIES Build equities investment portfolios

Antitrust & Competition

EMPLOYEE STOCK OWNERSHIP PLANS (ESOPS)

Aon plc. First Quarter 2017 Results May 9, 2017

Request for Information OUTSIDE COUNSEL (SINGLE OR MULTIPLE)

FIRM BROCHURE (Part 2A of Form ADV)

Focus on Opportunity. Regulatory Administration and Compliance Support Services For Hedge Funds and Private Equity Funds

Seoul Office Tel : Beijing Office Tel : Shanghai Office Tel :

Law Firm of the Year Who's Who Legal 2017 uninterruptedly since 2006

Your advisor s trusted clearing provider

NORTHERN TRUST A YEAR IN REVIEW: 2008 CROSS-BORDER PENSION/ASSET POOLING

Part 2A of Form ADV: Firm Brochure. Strategic Asset Management, Inc Riverside Drive Suite 106 Columbus, OH 43221

THE ADVISORS INNER CIRCLE FUND III. Rothschild Larch Lane Alternatives Fund (the Fund )

HSBC Funds. HSBC Emerging Markets Local Debt Fund HSBC Emerging Markets Debt Fund

Tax Exempt and Charitable Planning

The Goldman Sachs Group, Inc.

CRCP Week II: Capstone November 11-16, 2018

Weathering Further Storms. SEC Set to Enforce Broker-Dealer Registration Requirements on Private Fund Managers

International Trade Controls

INVESTMENT ADVISER BROCHURE UNIPLAN INVESTMENT COUNSEL, INC.

Transcription:

Investment Funds: U.S. Key Contacts Douglas P. Dick +1 202 261 3305 Richard Horowitz New York +1 212 698 3525 John V. O'Hanlon Boston +1 617 728 7111 Translate Page Harnessing decades of innovation to serve our investment fund clients Dechert is a leading adviser to financial services firms, asset managers and investment funds, representing clients that range from small start-up and boutique operations to some of world s largest financial institutions. Our practice is among the largest in the industry, and we ve been innovating in this arena for more than 40 years. We have been consistently honored as a top law firm for investment funds by Chambers USA, which has ranked us Tier 1 for registered funds since the publication s inception. The Legal 500 US noted that Dechert is recognized as one of the leading teams of dedicated registered funds experts in the nation and remarked on our very accessible team that provides prompt, thoughtful and accurate responses, and which attracts praise for its strength and depth. (2017) Dechert s investment funds practice has also been recognized by IFLR1000 (2017), Practical Law Company and Best Lawyers (2017). Our lawyers provide advice, counseling and assistance on a full spectrum of legal services relating to investment funds: Fund Lifecycle Matters new product development; fund structuring and formation; securities offerings; global marketing, advertising and distribution; fund restructuring transactions and

consolidations; mergers, acquisitions and strategic alliances; over-the-counter and exchange-traded derivatives transactions. Management and Governance pricing, trading and liquidity practices; fund governance; investor representation; tax structuring, employee benefits and ERISA matters. Regulatory compliance and enforcement; investment company and investment adviser regulation; commodities and futures regulation; insurance product regulation; broker-dealer regulation; bank regulation. Investigations and Litigation examinations, inspections, inquiries, and investigations by regulatory entities; sanctions and anti-money laundering actions; commercial and securities litigation. Experience across legal and regulatory landscapes Many of Dechert s lawyers have years of experience as in-house counsel and regulators. They have held key posts at global and regional asset management and brokerage firms, as well as at a range of U.S. regulators, such as the Securities and Exchange Commission (SEC), the Financial Industry Regulatory Authority, the Federal Home Loan Bank Board, the Federal Savings and Loan Insurance Corporation, the Office of the Comptroller of the Currency, and Board of Governors of the Federal Reserve System. Among Dechert s alumni are many distinguished industry leaders who hold or have held prominent positions at the Investment Company Institute (ICI), Mutual Fund Directors Forum and Managed Funds Association. Dechert is a leading adviser to financial services firms, asset managers and investment funds, representing clients that range from small start-up and boutique operations to some of world s largest financial institutions. Our practice is among the largest in the industry, and we ve been innovating in this arena for more than 40 years.we have been consistently honored as a top law firm for investment funds by Chambers USA, which has ranked us Tier 1 for registered funds since the publication s inception. The Legal 500 US noted that Dechert is recognized as one of the leading teams of dedicated registered funds experts in the nation and remarked on our very accessible team that provides prompt, thoughtful and accurate responses, and which attracts praise for its strength and depth. (2017) Dechert s investment funds practice has also been recognized by IFLR1000 (2017), Practical Law MUTUAL FUNDS Our lawyers assist mutual funds and their advisers in connection with fund organization and registration, and the development and implementation of compliance and supervisory oversight procedures. We advise on the full breadth of federal and state laws, rules and interpretative positions that may impact funds and their investment advisers. This advice spans financial and regulatory compliance and reporting, disclosure obligations, trading and brokerage practices, error correction, soft-dollar compliance, valuation matters, anti-money laundering, Regulation S-P ( privacy policies), proxy voting, books and records requirements, distribution practices,

solicitation and advertising limitations, web site compliance, and relevant tax and ERISA matters. CLOSED-END FUNDS Dechert advises clients as they establish closed-end funds and strive to meet ongoing regulatory compliance requirements. We have helped clients develop innovative closed-end fund structures, including one of the first registered funds of hedge funds and the first closed-end fund structured equity shelf offering. We also have helped several clients respond to concerns relating to the 2008 failure of the market for auction-rate preferred stock. Our lawyers have assisted clients with: Proxy battle defense Closed-end interval funds Discount management, including managed distribution plans, share buybacks and other strategies Rights offerings Tender offers Leverage (lines of credit, derivatives, tender option bond programs, etc.) Closed-end fund de-leveraging One-of-a-kind and unusual deals (secondary offerings and offerings by fund affiliates of fund shares requiring exemptive relief from the SEC, etc.) Since 1981, we have served as counsel for many U.S. closed-end funds organized to invest in Russia, China, Vietnam, Australia and New Zealand, France, Japan, Mexico, Spain and Portugal, Scandinavia, and other countries. We were also counsel for the underwriters of closed-end funds organized to invest in a variety of countries. BANK-SPONSORED COMMON AND COLLECTIVE INVESTMENT FUNDS Dechert lawyers advise clients in connection with all aspects of the establishment and operation of bank-sponsored common and collective investment funds. We provide guidance on the federal and state regulatory requirements applicable to bank-sponsored common and collective investment funds, including the tax, securities, ERISA, banking and fiduciary laws that govern the management and operation of these products. Clients frequently call upon us for advice on the applicable requirements for maintaining the exemption from SEC registration for collective investment funds that are sub-advised by non-affiliated entities. We have assisted financial institutions and investment advisory firms in connection with the offering of collective funds as investment options in 401(k) and similar retirement products, and we have advised on the use of common trust funds as investment vehicles for tax-exempt and non-u.s. institutional investors.

Dechert s clients also look to us for guidance on using collective funds as vehicles for investing in alternative asset classes. We have also counseled financial institutions in connection with the conversion of their common and collective funds into proprietary mutual funds that are registered with the SEC. INDEPENDENT DIRECTORS/TRUSTEES Dechert advises many independent directors and trustees of funds with respect to fiduciary responsibilities and regulatory matters. Our broad experience in navigating the legal, regulatory and business dimensions of the financial services industry allows us to illuminate the critical aspects of matters considered by boards particularly the hidden risks and provide practical, impartial advice. Additionally, thanks to the geographic breadth and specialist depth of our firm, our team can provide wide-ranging advice and innovative ideas relating to issues of taxation, cross-border complexities, and specific regulatory and litigation risks. Related Professionals ADRIENNE M. BAKER Boston T +1 617 728 7151 MARGARET A. BANCROFT Retired New York T +1 212 698 3590 MATTHEW E. BARSAMIAN Associate T +1 202 261 3392 STEPHEN H. BIER New York T +1 212 698 3889 THOMAS C. BOGLE T +1 202 261 3360 JULIEN BOURGEOIS T +1 202 261 3451

View All Related Professionals Related Practice Areas White Collar Defense and Investigations Mergers and Acquisitions Mutual Funds Regulatory Compliance Financial Services Tax