Mr. 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.
Mr. Zornada’s practice includes a broad spectrum of regulatory and transactional matters including:
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counseling investment advisers and investment companies on regulatory and compliance issues
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representing open and closed-end funds and other issuers before the Securities and Exchange Commission on exemptive applications, no-action letter requests and disclosure, registration, and other filings
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counseling boards of directors of open and closed-end funds
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extensively representing advisers and funds with respect to utilization of alternative investments
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extensively representing closed-end funds, including many funds of hedge funds, in initial offerings and capital and leveraging transactions, and
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organizing and advising onshore and offshore hedge funds and fund of funds and their managers