Investment Management Attorneys

Thomas H. Bilodeau, III
Lawrence B. Flint
Scott A. Stokes

 

 

 

 

 

Investment Management

At Rich May, our investment management practice is all about generating alpha for our clients. We create funds and pools, register broker-dealers, establish commodity trading advisors and other investment managers and the contracts and structures that bind them together.

We take an interdisciplinary approach that draws on our experience with domestic and international regulatory requirements, finance, business mergers and acquisitions, private placement of securities, litigation, tax, ERISA, executive and incentive compensation, employment and intellectual property. In this rapidly changing business arena, we embrace innovation and efficiency to allow our clients to take investment management to the next level of opportunity.

We offer a full range of legal services to investment advisors and other clients in the investment management industry. These services include:

• Structuring, creating and maintaining investment management organizations and domestic and foreign hedge funds including parallel funds, master/feeder complexes, funds of funds and commodity pools

• Organization and registration of investment advisers, broker-dealers, commodity pool operators, commodity trading advisors and their associated persons and principals

• Navigation of state and federal regulation of investment managers, broker-dealers and domestic and foreign hedge funds including the operation, financing, marketing, advertising and offering of interests in private funds and investment managers

• All manner of dealings with the SEC, FINRA (a consolidation of the former NASD and certain functions of the New York Stock Exchange), CFTC, NFA and state securities and regulatory regimes

• Compliance manuals and reports and on-site compliance reviews

• Acquisitions, divestitures and reorganizations