Jonathan Van Duren represents investment advisers in wide-ranging matters, including launching funds and other investment products, Advisers Act compliance and compliance programs, and responding to Securities and Exchange Commission staff examinations. Jonathan also represents investment companies and their independent directors in launching new registered funds, navigating compliance matters, negotiating service provider arrangements, and fund reorganizations.

Jonathan has given presentations and assists clients in understanding their obligations under the Advisers Act, Investment Company Act, and applicable anti-money-laundering regulations. He also assists operating companies in structuring their businesses to avoid being deemed an inadvertent investment company under the Investment Company Act and provides guidance in Investment Company Act opinion matters.

Admitted in Massachusetts and Missouri. Not admitted in Illinois.