Securities Regulation And Compliance
Macaluso LLP advises the full range of capital markets participants regarding U.S. securities regulation and compliance, including:
- Observance of federal and state laws regulating issuers, advisors, broker-dealers, investment companies, and other market participants
- Regulatory reporting requirements
- Ongoing compliance and disclosure obligations
- Restrictions on public and private offerings
- Private fund compliance
Our experienced attorneys advise both domestic and international firms regarding the complex securities issues that frequently arise
- in complex debt and equity capital markets transactions including structured finance transactions of all types;
- in connection with private investment funds, including formation, fund administration, and fund investments regardless of whether these are private equity, commodities, or financial assets; and
- in connection with innovative business ventures generally.