is an attorney at law who is a counsel and a member of the financial regulatory practice of Loyens & Loeff. He frequently advises on topics such as AIFMD, UCITS, MiFID II, the PSD2/E-Money Directive, CRDIV/CRR, Solvency 2, the Dutch Trust Offices Act, and the Fourth and Fifth AML Directives. His experience includes assisting in licence applications, advising on ongoing compliance issues, drafting product terms and conditions and marketing materials, drafting and negotiating asset management and custody agreements, and assisting in M&A transactions in the financial sector. Roderik heads the fund regulatory team of Loyens & Loeff, which advises a substantial number of fund managers on all regulatory aspects relating to the managing and marketing of their funds.
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