Asset and Fund Managers
We advise asset and fund managers across the full spectrum of the industry – from large institutional firms and household names to start-up boutiques, private equity houses and hedge funds. Our team provides comprehensive legal support on all aspects of business conduct, regulatory risk, compliance, corporate, commercial, and employment law.
Overview
Our lawyers have extensive experience in the financial sector and are trusted by asset management and fund management clients for our highly responsive and insightful approach. In addition to supporting 'business as usual', we regularly assist with sensitive and strategic matters, including dialogue with regulators, internal investigations and defending firms facing enforcement action by the FCA and other regulators internationally.
Our deep sector knowledge makes us ideally placed to help asset and fund managers navigate complex regulatory landscapes and achieve their business objectives. Whether you are launching a new fund, managing compliance obligations, or responding to regulatory investigations, we deliver tailored, commercially focused solutions. We regularly advise on:
- Financial promotions and fund distribution
- Obtaining authorisation for new asset management businesses
- Advice on compliant trading and handling trading errors
- Dialogue with the FCA and other regulators
- Corporate transactions
- Governance and SMCR
- Data protection and technology
- UK and EU regulation, including onshored AIFMD and MIFID II
- Internal investigations into suspected compliance breaches
- Regulatory reporting
- Dispute resolution, including investor disputes
- Day-to-day and strategic employment law issues
Featured experience
- Advising a hedge fund management firm on an FCA investigation into alleged market manipulation (spoofing) by a trader
- Advising a major global asset manager responding to investigations and enquiries by multiple regulators globally, including the FCA and SEC, regarding errors in its quantitative investment algorithms which caused investor loss
- Assisting a global asset manager to implement the Senior Managers & Certification Regime
- Conducting internal investigations for asset managers examining alleged compliance breaches and non-financial misconduct by senior managers
- Advising a hedge fund manager on responding to a Section 166 skilled person examination
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Qui sommes-nous ?
Pourquoi choisir DAC Beachcroft ?
Nous sommes un cabinet commercial à large assise, au service d'un grand nombre de secteurs, avec un solide héritage dans les domaines de l'assurance, de la santé et de l'immobilier. Nous combinons d'excellentes compétences juridiques et une expertise de pointe en matière d'exécution pour concevoir des solutions
qui répondent aux besoins de nos clients - souvent en utilisant intelligemment la technologie.

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