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Capabilities

Services for Registered Advisers

Overview

We assist registered advisers and firms in the investment management sector, including the SEC and state-registered advisers, with the numerous and frequently changing government controls that exist at the intersection of commerce and compliance.
Our broad scope of services includes:
  • Ongoing compliance counseling
  • Preparation and review of compliance policies and procedures
  • Advising with regard to investment advisory agreements, record-keeping, soft-dollar transactions, principal and agency transactions, sub-advisory arrangements, allocation practices, and insider trading policies
  • Offering guidance during contract negotiations with retail and institutional investors, custodians, brokerage firms and solicitors
  • Registration filings

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We are eager to learn about your business objectives and brainstorm on how we can help you achieve them.