Nathan F. McGuire is an associate in the asset management group and a member of Ropes & Gray’s broker-dealer team. He represents asset managers in regulatory, compliance, and transactional matters.

Nathan advises clients regarding the creation, registration, and operation of retail and institutional investment products, including mutual funds, ETFs, and interval funds. He represents broker-dealers with respect to regulatory and securities law matters, including SEC registration and Exchange Act and FINRA compliance. He also provides advice on regulatory issues in connection with mergers and acquisitions involving broker-dealers.

Nathan graduated magna cum laude from Suffolk University Law School, where he was a note editor of the Suffolk University Law Review. During law school, he served as a judicial intern at the Massachusetts Appeals Court.

Areas of Practice