Partners in this practice:
Sara E. Emley

Investment Advisers

BuckleySandler lawyers advise clients on the full spectrum of regulatory and legal issues affecting investment advisers and their affiliates and frequently counsel companies on compliance matters relating to the Investment Advisers Act and its rules. Our integrated approach also includes: providing advice regarding the Securities Exchange Act of 1934 and applicable State Revenue Office rules affecting advisers who are also registered as, or are affiliated with, broker-dealers; the provisions of Employee Retirement Income Security Act (ERISA) and the Internal Revenue Code applicable to firms providing investment advice to retirement accounts; and banking rules and regulations as they pertain to advisers affiliated with or doing business with banks.

Our practice includes:

1250 24th Street, NW
Suite 700
Washington, DC 20037
T 202·349·8000
F 202·349·8080