Practice Areas
Co-chair of the Investment Management Regulatory & Compliance Group. Advises on private funds on regulatory and compliance matters, particularly the Investment Advisers Act of 1940.
Kelly supports clients undergoing SEC examinations, including by handling deficiency letters and enforcement referrals and uses that experience to assist clients with exam preparedness.
She practices in the intersection of regulation and emerging technologies, including artificial intelligence, alternative data, web scraping and electronic communications.
Kelly also advises clients on data privacy and cybersecurity.
She regularly conducts client training sessions and is a sought-after presenter at leading industry conferences.