Barry Hurwitz’s practice focuses on the representation of registered investment companies, investment advisers, and fund directors. He counsels clients on a wide variety of regulatory, transactional, fund formation, and compliance matters. His practice also includes advising issuers with respect to exemptions from the Investment Company Act of 1940.
Barry has considerable experience with the onboarding of subadvisers by fund complexes operating under manager of managers orders. In addition, he provides advice on issues relevant to investment advisers under the Securities Act of 1933 and the Securities Exchange Act of 1934. Barry also counsels public and private operating companies on a wide range of corporate and transactional issues.
Before joining Morgan Lewis, Barry was a partner in the investment management practice of another international law firm.