Robert Raghunath focuses his practice on a wide range of securities regulatory issues facing investment advisers, including private investment funds and large financial institutions. He provides counsel to these companies on regulatory compliance, SEC examinations, preparation of policies and procedures, and structure and operations.
While in law school, Robert served as a legal intern at the US Securities and Exchange Commission, FINRA, and the Office of the New York State Attorney General–Investor Protection Bureau. Prior to joining Morgan Lewis, Robert worked as a Legal and Compliance Officer at a leading private equity asset manager where he was responsible for handling a variety of private fund formation, fund closing, and regulatory compliance matters.