Our Investment Management practice attorneys represent participants in all aspects of the dynamic investment management industry. This broad experience, combined with senior-level attention, provides the knowledge, skill and sophistication to help our clients navigate complex regulations and manage their business operations and investments. We handle a wide range of issues arising under the federal securities laws and related laws, including the Investment Company Act of 1940, the Investment Advisers Act of 1940, the Commodity Exchange Act and related rules and regulations.
Our investment management attorneys offer clients diverse perspectives. Team members include former general counsels of leading investment firms as well as the former associate director of the Division of Investment Management at the Securities and Exchange Commission (SEC), a former enforcement branch chief at the SEC, a former SEC chief litigation counsel, and former employees of major participants in the investment management business.
Learn more about Perkins Coie’s Investment Management practice.