Olga Kamensky counsels investment managers, large financial institutions, separately managed (or wrap fee) program and fund sponsors, and other market participants on regulatory compliance and transactional matters arising under securities and derivatives laws and related US Securities and Exchange Commission (SEC), US Commodity Futures Trading Commission (CFTC), and self-regulatory organization (SRO) rules, regulations, and interpretive guidance. She advises clients on a wide range of matters, including investment adviser registration, disclosure, marketing regulations, structure and operations, policies and procedures, and no-action requests.
Olga is part of a team of attorneys that counsels investment funds, their advisers, and large financial institutions on a variety of matters including registration and disclosure, fiduciary duty, product and service development, interpretive guidance, and mergers, acquisitions, and joint ventures involving asset managers and investment advisers. While in law school, Olga co-taught an intensive negotiation workshop at Jindal Global Law School in India and mediated cases in multiple Boston-area courts. She is fluent in Russian and Hebrew, and conversant in French.
Harvard College, 2008, Artis Baccalaureate
Harvard Law School, 2013, Juris Doctor
Awards and Affiliations
Member, Practice Group of the Year, Asset Management, Law360 (2017)