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blank image Ron  S. Geffner
Partner

Ron S. Geffner

New York
Ron S. Geffner is a founding member of Sadis, he participates on the Executive Committee and also oversees the Financial Services group. He regularly structures, organizes and counsels private investment vehicles, investment advisory organizations, broker-dealers, commodity pool operators and other investment fiduciaries. Ron also routinely counsels clients in connection with regulatory investigations and actions. His broad background with Federal and State securities laws, and the rules, regulations and customary practices of the United States Securities & Exchange Commission ("SEC"), Financial Industry Regulatory Authority, Commodities Futures Trading Commission and various other regulatory bodies, enables him to provide strategic guidance to a diverse clientele. He provides legal services to hundreds of hedge funds, private equity funds and venture capital funds organized in the United States and offshore.

Ron began his legal career with the SEC, where he investigated and prosecuted violations of the Federal Securities laws with an emphasis on enforcement in connection with violations of the Investment Advisers Act of 1940 and the Investment Company Act of 1940. He also assisted Federal and State criminal agencies, such as the Federal Bureau of Investigation, the U.S. Attorney’s Office and the Attorney General’s Office, in their investigations of possible criminal violations of Federal and State securities laws.

Prior to co-founding Sadis & Goldberg, Ron was associated with two other New York City-based law firms, where he represented domestic and offshore private investment vehicles, as well as broker-dealers, registered investment advisers and registered investment companies.

He began his corporate legal career as in-house counsel in the Investment Management Industry Services group of PricewaterhouseCoopers LLP, where he provided legal advice regarding investment advisers, registered investment companies and broker-dealers.

Ron is often interviewed as a legal expert in the securities industry. He has appeared on Fox News, CBS Morning Show, CBS Evening News with Dan Rather, Squawk Box, Power Lunch and Closing Bell on CNBC, British Broadcasting Channel and Bloomberg Radio. He is regularly quoted in The New York Times, The Wall Street Journal, Bloomberg News, Barron’s, Barron’s Online, Reuters, Dow Jones, Financial Times, New York Newsday, London Daily News, TheStreet.com, Private Equity Week and other national and international publications.

PRACTICE AREAS
EDUCATION
  • J.D., Benjamin N. Cardozo School of Law, 1991
  • B.A., Rutgers University, 1988
ADMISSIONS
  • New York
  • New Jersey
Memberships & Affiliations
  • Board of Directors, Hedge Fund Association Ltd., 2008 – 2015
  • Vice President, Hedge Fund Association Ltd., 2010 – 2015
  • Young President Organization (YPO – WPO), 2010 – 2015
Honors & Awards
  • New York Metro Super Lawyer, New York Metro Super Lawyer Magazine 2017-2023
  • “2008 Guide to the World’s Leading Investment Funds Lawyers,” Legal Media Group, in association with the International Financial Law Review, 2008
  • “Presidential Who’s Who: The Presidential Registry,” 2009
  • “Who’s Who Among Executives and Professionals Throughout the World,” Legal Industry, Madison Who’s Who, 2010
  • “US (New York) – Best Private Funds/Hedge Funds Lawyer of the Year,” ACQ Law Awards, 2013
  • “Who’s Who Legal: The International Who’s Who of Private Funds Lawyers,” Law Business Research Ltd., 2008 – 2016
  • “Who’s Who Legal: The International Who’s Who of Business Lawyers,” Law Business Research Ltd., 2008 – 2013

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