Highlights from Our Network of Broker-Dealer & Investment Advisory Attorneys
20
LAWYERS WITH THIS EXPERIENCE
$220-$455
HOURLY RATE RANGE
10-33
YEARS EXPERIENCE
OUR LAWYERS HAVE EXPERIENCE ADVISING ON
Regulatory and compliance issues, including FINRA, SEC, CFTC, NFA and state registration, membership, compliance, licensing and reporting.
Business and fund structuring, formation and sales and acquisitions.
Fundraising, including the preparation of offering, marketing and subscription materials.
Defense of regulatory actions and investigations, including sales practice violations, anti-money laundering, variable annuity issues, fraud and insider trading claims.
Advising on brokerage and portfolio trading practices.
Acting as outside general counsel to hedge funds and private equity firms.
Investment Advisory Act compliance.
OUR LAWYERS’ PAST FIRM EXPERIENCE & CLIENTS INCLUDE