Registered Funds
USA - Nationwide
6 years ranked
Provided by Vedder
John Marten helps registered investment companies, their advisers, independent directors and boards, and other clients in the asset management industry achieve positive business outcomes while staying compliant with the Investment Company Act of 1940 and other complex federal and state laws under which they operate.
With extensive experience in the investment management industry, John advises on the formation and registration of investment companies, including SEC filings, conducts compliance policy reviews, and advises boards and independent directors on fiduciary duties, conflicts of interest, board administration and other corporate governance matters. He guides investment companies and their advisers on product design and registration, derivative instruments, and investment adviser business issues. He also helps clients respond to SEC examination requests and resolves regulatory inquiries favorably and efficiently.
Additionally, John guides clients in exchange-traded fund, mutual fund and closed-end fund formations, structuring complex alternative fund products, negotiating derivatives contracts for funds, achieving and maintaining ongoing compliance requirements, and undertaking fund reorganizations.
He is the co-author of two chapters on investment company contracts published in Mutual Fund Regulation.
Member, American Bar Association
Provided by Chambers
Provided by Chambers
John does a tremendous job of combining his expertise with the ability to build and maintain relationships. He has a unique ability to focus on the issues which are most important to our situation.
Chambers is the leading data and intelligence partner for the legal sector.