Main Practice Contacts

Tom D. Harris
+1 214.651.5630

Vicki L. Martin-Odette
+1 214.651.5674

Taylor H. Wilson
+1 214.651.5615

In the News

Addition of Davidovich and Rosensweig Continues the Expansion of Haynes and Boone Hedge Fund Practice

NEW YORK – The continued growth of the Haynes and Boone, LLP hedge fund practice is being boosted with the recruitment of two highly regarded partners in the firm’s rapidly expanding New York office, Ricardo W. Davidovich and Shelley J. Rosensweig.

Davidovich and Rosensweig bring to the firm’s hedge fund capabilities more than 35 years of experience in advising investment managers, hedge funds and other alternative asset structures. >>

Recent Publications

Eurekahedge Guest Article: CSRC New Regulations on Private Investment Funds

On August 21, 2014, China Securities Regulatory Commission (CSRC), the Chinese securities regulator, promulgated the Interim Regulations on the Supervision and Administration of Private Investment Funds (the CSRC Regulations). These new regulations became effective on the same date. >>

CFTC Relief Permits Commodity Pools to Use General Solicitation

On September 9, 2014, the Commodity Futures Trading Commission (the “CFTC”) issued CFTC Letter No. 14-116 (the “CFTC Letter”) providing exemptive relief allowing commodity pools to use general solicitation in certain types of private offerings, including offerings of private fund interests. >>

Investment Funds and Private Equity

Our Investment Funds and Private Equity Practice Group provides assistance with the formation and on-going operation of investment funds engaging in a broad spectrum of investment activities from general investment in listed stocks to targeted acquisitions in a wide variety of industries, including in technology, energy, and real property, businesses or investments. We represent both domestic and offshore primary investment vehicles and funds of funds, and serve as lead outside counsel to numerous investment funds who combined have tens of billions of dollars in assets under management. Our representation of investment fund clients is both innovative and efficient.

Multi-Disciplinary Approach

Our Investment Funds and Private Equity practice group has assembled a team of lawyers and legal professionals with diverse, but complementary, experience, so that we may provide assistance in all matters affecting our investment fund clients and their businesses. Our lawyers have knowledge in corporate-securities, partnership, tax, ERISA, international, venture capital, employment, finance, and litigation issues that affect all types of investment funds. This multi-disciplinary approach affords our clients efficient access to lawyers possessing the depth of experience necessary to address any need they may have, while creating a team of professionals particularly suited to providing the creativity and flexibility necessary to guide those clients through the rapidly evolving legal and regulatory landscape.


Our Investment Funds and Private Equity Practice Group provides assistance to investment funds and their sponsors, with respect to all aspects of fund structuring, formation and operations throughout the life of a fund, including the following:

Fund Organization

  • Preparation of Private Offering Documentation
  • Assistance with Structuring Multiple Entities (Including Use of Master/Feeder and Parallel Fund Structures) to Minimize Taxation on Investors
  • Use of Various Domestic and Offshore Entities, Including Limited Partnerships, Limited Liability Companies and Corporations
  • Advising on Structuring and Compensation Issues for Fund Sponsors, Managers and Staff
  • Tax, ERISA and Securities Law Considerations and Specialized Investor Concerns
  • Development of Fund Terms and Investment and Distribution Policies
  • Investor Negotiations and Relations
  • International Fundraising and Investment
  • Establishment of Privacy Policies
  • Formation of Advisory Committees

Fund Management and Compliance

  • Formation and Registration of Investment Manager Entities
  • Advising on General Securities Law Matters
  • Advising on the Dodd-Frank Act and Current Rulemaking Initiatives
  • Preparation and Filing of Forms 13F
  • Advising on Investment Company Act of 1940 issues
  • Advising on Investment Advisers Act of 1940 issues
  • Compliance with Applicable Commodities Laws

Investment Management

  • Preparation of Investment Management and Deferred Fee Agreements
  • Early Stage Portfolio Company Development
  • Review of Securities Offering and Proxy Materials of Portfolio Companies
  • Preparation and Filing of Forms 13D/G
  • Compliance with Section 16
  • Compliance with Antitrust Laws
  • Assistance with Proxy Solicitations and Attendance at Shareholder Meetings of Portfolio Companies
  • Review of Derivative Instruments and Other Hedging Instruments
  • Tax Strategies for Portfolio Investments

Fund Investment

  • Review of Target Company Offering Materials
  • Negotiation of Organizational Documents and Side Agreements