Jason Daniel
USA Guide 2024
Band 4 : Investment Funds: Regulatory & Compliance
Band 4
About
Provided by Jason Daniel
Practice Areas
Jason Daniel focuses on securities trading and reporting advice, investment adviser compliance and registration, and securities advice in respect to mergers and acquisitions.
Jason has represented multiple fund clients that were affiliates of issuers with the resale of securities under the Securities Act of 1933. He has also advised multiple fund clients in connection with filing exemptions from Schedules 13D and G and Forms 3, 4 and 5, and in connection with determining potential exemptions from disgorgement. Jason frequently reviews Forms ADV Part 1A and Parts 2A and 2B, as well as compliance manuals in connection with the Investment Advisers Act of 1940 and the Securities Act of 1933.
Professional Memberships
Member, State Bar of Texas; Adjunct Professor at Southern Methodist University for Private Funds Law
Personal
J.D., Washington University School of Law, 2001; B.A., University of Missouri - Columbia, summa cum laude, 1997
Chambers Review
USA
Jason Daniel is routinely called upon to provide counsel to asset managers and investment managers on SEC enforcement and compliance.
Strengths
Provided by Chambers
"Jason is extraordinarily intelligent and responsive."
"He has an encyclopedic knowledge of the law."
"Jason is extraordinarily intelligent and responsive."
"He has an encyclopedic knowledge of the law."