Pam Krill is a shareholder in the firm’s Investment Management Practice Group. She practices securities and corporate law with particular emphasis on investment adviser and investment company regulation, SEC compliance and reporting, and representation before the SEC, various stock exchanges and the state securities commissions.
In over 25 years of practicing law, Pam has gained substantial experience working with investment advisers and investment companies, counseling these clients on a wide range of legal and business issues, including federal and state regulation, corporate governance, strategic business planning, mergers and acquisitions, and general corporate matters. Pam’s investment adviser clients include both institutional and retail asset management firms, and her investment company clients include registered open-end and closed-end funds, as well as unregistered funds, such as hedge funds, private equity funds, venture funds and real estate funds. With regard to unregistered funds, Pam provides counsel with respect to structuring, regulatory, ongoing securities law compliance and operational issues. Pam also provides counsel to independent trustees, broker-dealers and trust companies on securities and corporate law matters.
Pam has practiced law both in-house and in private practice, giving her valuable insight that enables her to provide practical and innovative counsel to her financial services clients.
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