Abigail Jeck is an associate in the corporate department and a member of the firm’s investment management group. She represents registered investment companies and investment advisers in regulatory, transactional and compliance matters. She has experience with fund intermediary agreements as well as advising with respect to investment adviser acquisitions.
Prior to joining the firm in 2016, Abby was an associate in the corporate department of a large law firm in its Raleigh, North Carolina office. Her practice concentrated on securities regulation and corporate governance for real estate investment trusts and similar pooled vehicles. This included representing REITs in connection with public and private securities offerings, SEC periodic and current reporting compliance, corporate governance matters and blue sky securities laws. Abby also frequently represented investment banks and dealer managers, including negotiating underwriting and selling agreements and making FINRA filings.