SRZ Expands Litigation Practice with Former SEC Division of Enforcement Official

SRZ recently announced the addition of Charles J. Clark as a litigation partner, resident in the firm’s Washington, D.C. office.  At SRZ, he will represent public companies, financial institutions, private funds and their senior executives in securities-related enforcement proceedings before the SEC, DOJ, FINRA, CFPB and other federal and state law enforcement and regulatory authorities.  For HFLR articles authored by SRZ partners, see “Ten Recommendations to Help Hedge Fund Managers Conduct Successful Internal Investigations,” Hedge Fund Law Report, Vol. 6, No. 9 (Feb. 28, 2013); and “Hedge Fund Names: What a Hedge Fund Manager Should Do Before It Starts Using a Name,” Hedge Fund Law Report, Vol. 5, No. 11 (Mar. 16, 2012).  For additional insight from SRZ partners, see “Schulte Partner Stephanie Breslow Addresses Gates, Side Pockets, Secondaries, Co-Investments, Redemption Suspensions, Funds of One and Fiduciary Duty,” Hedge Fund Law Report, Vol. 7, No. 45 (Dec. 4, 2014); “Hedge Fund Industry Experts Discuss Presence Examinations Priorities, SEC Investigations and How an Admission in an SEC Settlement May Affect Insurance Coverage,” Hedge Fund Law Report, Vol. 7, No. 26 (Jul. 11, 2014); and “Can Activist Hedge Fund Managers Provide Special Compensation to Nominees That Are Elected to the Board of a Target? An Interview with Marc Weingarten, Co-Head of the Global Shareholder Activism Practice at Schulte Roth & Zabel,” Hedge Fund Law Report, Vol. 7, No. 16 (Apr. 25, 2014).

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