Todd Gibson is a member of the firm’s investment management, hedge funds and alternative investments practice group. His clients include registered investment companies, hedge funds, venture capital and private equity funds of all sizes, and he provides advice and counselling on a full range of structuring, regulatory, and compliance matters. Todd has assisted a variety of managers navigate laws and regulations governing the activities of investment advisers (including exemptions from registration), and he regularly advises U.S. and non-U.S. clients with respect to compliance with U.S. and European regulatory requirements. He regularly works with global managers on providing investment management services and selling pooled investment products (including UCITS funds) on a cross-border basis, both inbound and outbound from the U.S.
Todd also represents companies from various industries on status issues under the Investment Company Act of 1940, and has assisted operating companies with the development of internal policies and procedures to ensure compliance. He has also provided structuring advice to managers with respect to various alternative asset classes to identify applicable exclusions from the definition of an investment company.
As a member of the firm's fintech group, Todd, also counsels asset managers and digital financial service providers with respect to their use of technology to deliver their products and services.