Band 2
Band 5
About
Provided by George Zornada
Practice Areas
George Zornada practices investment management and securities law. He regularly represents investment advisers, open and closed-end investment companies and their boards of directors, and private investment entities such as hedge funds and fund of funds.
George’s practice includes a broad spectrum of regulatory and transactional matters.
Professional Memberships
Member of the Editorial Board of The Investment Lawyer
Member of the Board of Trustees, Ripon College
Publications
"Interval Funds have Turned 25 and are Increasingly Popular," The Review of Securities & Commodities Regulation, 20 February 2019
“Changes to Investment Company Reporting - A Look at New Form N-CEN and Amended Regulation S-X: Part 2 of 2,” The Investment Lawyer, Vol. 24, No. 3, March 2017
Co-author, “Investment Company Determination under the 1940 Act - Exemptions and Exceptions,” American Bar Association, 2003
Education
Washington University School of Law
J.D.
1990
Ripon College
A.B.
1987
Chambers Review
USA
George Zornada advises significant fund managers on both ongoing regulatory concerns and standalone transactions, including fund launches.
George Zornada's practice covers a wide array of issues, including advising on regulatory and transactional matters. He has notable experience advising clients on deals concerning ETFs, BDCs and closed-end funds.
Strengths
Provided by Chambers
"George is professional, on top of the details and a pleasure to work with."
"He is very commercial and incredibly resourceful."
"He is extremely experienced and his business mindedness is incredibly useful when navigating issues."
"George has a wide depth of experience."
"George is professional, on top of the details and a pleasure to work with."
"He is very commercial and incredibly resourceful."
"He is extremely experienced and his business mindedness is incredibly useful when navigating issues."
"George has a wide depth of experience."