Molly Moore is counsel in the asset management group. Molly's practice focuses on advising hedge funds, investment advisers, mutual funds, endowments and foundations on derivatives and trading arrangements. She has advised clients regarding cleared and uncleared derivatives and trading, brokerage and custody arrangements. Recently, she has advised clients with respect to the derivatives provisions in Title VII of the Dodd-Frank Act and related rulemakings. In addition, Molly has experience advising investment companies, their independent directors, and investment advisers on a variety of transactional, regulatory, and compliance matters.
Molly also has experience forming and providing ongoing advice regarding corporate governance matters to tax-exempt entities.