Genna N. Garver
Associate
Jenna D'Amico
860.256.8589
Ms. Garver handles a wide variety of transactional and regulatory matters for financial institutions, with a particular emphasis on investment advisers and private investment funds. She regularly advises clients on formation and offering matters, mergers and acquisitions, SEC and state registration and exemptions, the development and implementation of compliance programs and procedures, ongoing compliance matters, mock audits and regulatory examinations. Ms. Garver also has counseled banking clients in many areas, including complex structuring and capital issues regarding mergers and acquisitions, risk capital matters, affiliated transactions, and securities lending agency transactions.
Publications and Speeches
"Financial Regulatory Reform - Heightened Regulation and Dissolution of Systemically Risky Institutions," 100 Women in Hedge Funds, Greenwich, CT, May 18, 2010.
"Understanding the Volcker Rule," Bracewell & Giuliani LLP, March 24, 2010.
"Regulating The Business Of Private Fund Advisers," Law360, November 16, 2009.
"Leveling The Playing Field? House Committee Approves SEC Registration For Some Private Fund Advisers, Exempts Others," FINalternatives, November 3, 2009.
"Hedge Fund Regulation - Where Do We Go From Here?" 100 Women in Hedge Funds, New York, NY, October 7, 2009.
"Are You Ready? A Guide To SEC Registration Preparedness," FINalternatives, July 21, 2009.
Co-author, "Obama Proposals Could Have Major Impact On Private Fund Managers," FINalternatives, June 24, 2009.
"Levin, Whitehouse, McCaskill and Nelson Propose Legislation to Tax Offshore Private Investment Funds," Complinet, April 1, 2009.
Education
J.D., Northeastern University School of Law, 2000
B.A., cum laude, Bowdoin College, 1997
Bar Admissions
Connecticut
New York
Massachusetts
Affiliations
American Bar Association
Connecticut Hedge Fund Association
Managed Funds Association
100 Women in Hedge Funds