Robert M. Crea counsels investment advisers, private fund managers and broker-dealers on a variety of fund formation, regulatory and compliance, and securities law matters. He regularly works with clients to structure and document U.S. and offshore private investment funds and assists clients with a variety of state and federal regulatory and compliance issues. He represents pension plans and other institutional investors in connection with their investments in hedge funds, private equity, venture capital and real estate funds.
Mr. Crea also counsels on regulatory matters affecting cryptocurrency offerings. In addition, he advises emerging companies regarding formation and financing and mergers and acquisitions.
Mr. Crea is a CFA charterholder and CAIA charterholder and a member of each of the CFA Institute and CAIA Association.