Investment Funds & Private Capital Regulatory
Over the past two decades, the investment funds and private capital marketplace has become subject to an increasingly complicated regulatory environment.
Our Investment Funds & Private Capital Regulatory practice includes attorneys with deep experience handling sensitive and complex regulatory and compliance issues.
In the U.S., we regularly advise on Investment Company Act status and structuring issues, private fund investment manager registration, Investment Advisers Act, Securities Act, Securities Exchange Act and other compliance, SEC examinations and enforcement. We also advise on the formation and operation of registered alternative funds and products.
Fund sponsors and asset managers operating outside the U.S. face an ever-evolving regulatory landscape, particularly in Europe. We provide governance and other compliance arrangements to comply with, among others, the Alternative Investment Fund Managers Directive (AIFMD), MiFID II, and PRIIPS and applications for FCA authorization.
Client Alert
Update: Senate Finance Committee Releases Its Version of Section 899 of the One Big Beautiful Bill
June 18, 2025
Client Alert
UK FCA’s Review of Valuation Processes for Private Market Assets — Key Findings and Implications for...
April 04, 2025
PLI Twenty-Sixth Annual Private Equity Forum
April 28, 2025
Paul Hastings Advises Artemis Real Estate Partners on Sale to Barings
February 18, 2025
NYC Bar Association Compliance Institute 2024
October 23, 2024