Marissa Volpe
Associate
Advises private fund managers on regulatory and compliance matters with a particular focus on the Investment Advisers Act of 1940.
Marissa works with clients on a variety of regulatory matters, including SEC investment adviser registration, operating effective compliance programs, managing conflicts of interest, assessing cross-border applications of US regulatory requirements, reviewing marketing materials and navigating SEC examinations.
She also advises clients on alternative data and data privacy matters.
Highlights
Marissa Volpe
Associate
Advises private fund managers on regulatory and compliance matters with a particular focus on the Investment Advisers Act of 1940.
Marissa works with clients on a variety of regulatory matters, including SEC investment adviser registration, operating effective compliance programs, managing conflicts of interest, assessing cross-border applications of US regulatory requirements, reviewing marketing materials and navigating SEC examinations.
She also advises clients on alternative data and data privacy matters.