About Meg Carey

Meg Carey draws on more than a decade of both public and private sector experience to advise asset management and financial institutional clients on a wide range of complex legal, regulatory and compliance matters including structuring and operating exempt and registered investment advisers; investment funds, including fund formations and restructurings, GP-led secondary transactions, management team spinouts and minority stake investments; SEC examinations and enforcement referrals and investigations; regulatory compliance; and M&A and restructuring transactions involving asset managers and broker-dealers. Meg began her career at the US SEC Division of Examinations Office of Chief Counsel.


Contributions to Global Practice Guide

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