Ranking tables

Investment Funds: Regulatory & Compliance | USA

USA - Nationwide

This section covers regulatory and compliance work for non-registered funds, including SEC and CFTC matters.

Rankings overview for Departments

All Departments profiles

1
Band 1
  1. Ropes & Gray LLP
    1
    Ropes & Gray LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 1 | 5 Years Ranked
    Ropes & Gray has an established practice, and the team represents private fund managers in substantial regulatory and compliance matters. Provides advice on the navigation of the Dodd-Frank Act in addition to liaising with major regulatory bodies, such as the SEC and CFTC.
  2. Schulte Roth & Zabel LLP
    1
    Schulte Roth & Zabel LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 1 | 6 Years Ranked
    Schulte Roth boasts a market-leading team assisting high-profile hedge and private equity fund clients in compliance with regulations. Experienced in matters involving the SEC, CFTC and National Futures Association. Draws strength from its global presence to offer clients guidance on international regulatory issues.
  3. Willkie Farr & Gallagher LLP
    1
    Willkie Farr & Gallagher LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 1 | 6 Years Ranked
    Willkie Farr has a preeminent team that handles significant compliance matters involving investment funds. Noted for its expertise in issues related to the Commodity Exchange Act, Investment Advisers Act of 1940 and Investment Company Act of 1940.
2
Band 2
  1. Dechert LLP
    2
    Dechert LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 2 | 5 Years Ranked
    Dechert is a respected asset management firm with a strong team advising on issues relating to the Investment Advisers Act of 1940 and Investment Company Act of 1940. Additional expertise in the Commodity Exchange Act and SEC regulatory matters.
  2. Kirkland & Ellis
    2
    Kirkland & Ellis
    Investment Funds: Regulatory & Compliance
    2024 | Band 2 | 4 Years Ranked
    The Kirkland & Ellis team is renowned for its ability to handle a wide spectrum of regulatory and compliance issues. Draws strength from practitioners with previous experience within governing agencies such as the SEC. Significant experience of advising clients on the Investment Company Act and Securities Exchange Act. Recognized in the market for its strength in handling private fund issues.
  3. Morgan, Lewis & Bockius LLP
    2
    Morgan, Lewis & Bockius LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 2 | 4 Years Ranked
    Morgan, Lewis & Bockius is highly visible in the market with an impressive client list comprising private and registered fund sponsors, asset managers and institutional investors. Particularly adept at providing counsel on SEC, CFTC and NFA issues. Routinely called upon to advise on fund formations and SEC examinations. Additional experience of providing counsel on the Department of Labor Fiduciary Rule.
3
Band 3
  1. Akin
    3
    Akin
    Investment Funds: Regulatory & Compliance
    2024 | Band 3 | 1 Years Ranked
    Akin boasts considerable strength in the market, with considerable strength in assisting clients with SEC examinations and compliance. The practitioners also routinely provide counsel on issues arising before the CFTC and the NFA. The team's clients include private equity and hedge fund managers.
  2. Calfee, Halter & Griswold LLP
    3
    Calfee, Halter & Griswold LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 3 | 1 Years Ranked
    Calfee, Halter & Griswold has a distinguished practice in the space. Its practitioners are renowned for their ability to provide counsel on the new SEC Marketing Rule, as well as SEC examinations. The team has further experience of providing counsel on CFTC and FINRA filings.
  3. Davis Polk & Wardwell LLP
    3
    Davis Polk & Wardwell LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 3 | 2 Years Ranked
    Davis Polk & Wardwell boasts a strong practice in the space. The team has considerable experience of advising on a plethora of issues, such as SEC investigations, regulatory actions, formations and broader operational compliance. The group provides counsel on issues related to a wide spectrum of funds, including hedge and mutual funds.
  4. Debevoise & Plimpton LLP
    3
    Debevoise & Plimpton LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 3 | 2 Years Ranked
    Debevoise & Plimpton is held in high regard throughout the market for its wide and varied practice. Its group has notable experience of advising clients on regulatory issues arising from IPOs, acquisitions and fund formations. The practitioners are adept at assisting on matters related to a range of funds, including mutual, hedge and private equity funds.
  5. Latham & Watkins LLP
    3
    Latham & Watkins LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 3 | 1 Years Ranked
    Latham & Watkins is noted for its ability to advise both asset managers and sponsors on a range of regulatory and compliance issues. The practitioners are notably adept at guiding clients through highly sophisticated SEC examinations, as well as registrations and enforcement matters.
  6. Lowenstein Sandler LLP
    3
    Lowenstein Sandler LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 3 | 1 Years Ranked
    Lowenstein Sandler's team consistently demonstrates its ability to handle a plethora of regulatory and compliance issues. The team is called upon to advise clients on regulatory examinations and enforcement actions, as well as investment adviser and CPO registrations. The firm's clients include investment advisers and sponsors, among others.
  7. Paul, Weiss, Rifkind, Wharton & Garrison LLP
    3
    Paul, Weiss, Rifkind, Wharton & Garrison LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 3 | 2 Years Ranked
    Paul, Weiss' group is renowned for its strength in helping asset managers to navigate regulatory issues that may arise in this space. The team demonstrates its ability to advise clients on regulatory enforcement actions and joint venture disputes. Due to their in-depth experience, its practitioners are fully equipped to provide counsel on any issue concerning the SEC and CFTC.
  8. Sidley Austin LLP
    3
    Sidley Austin LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 3 | 1 Years Ranked
    Sidley Austin's team is adept at providing counsel on CFTC, SEC and state registration processes. Its highly distinguished partners have considerable experience of providing counsel on issues related to BDCs, ETFs and real estate funds, among others. The group is also routinely called upon to provide counsel on regulatory issues arising from transactional matters.
  9. Simpson Thacher & Bartlett LLP
    3
    Simpson Thacher & Bartlett LLP
    Investment Funds: Regulatory & Compliance
    2024 | Band 3 | 2 Years Ranked
    Simpson Thacher's team is renowned for its ability to guide clients through a wide spectrum of complex regulatory and compliance issues. The group has extensive experience of handling SEC examinations, enforcement inquiries and investigations. The team also provides high-quality operational compliance advice.