Clifford Cone
Experience and career history
Cliff Cone focuses his practice on the investment management sector and has a broad base of expertise advising alternative investment managers, registered investment companies and boards of directors with respect to all aspects of the Investment Company Act of 1940 and the Investment Advisers Act of 1940.
Cliff has extensive experience with the organization and ongoing representation of U.S. registered open-end and closed-end investment companies, exchange-traded funds and business development companies. He also regularly consults with investment advisers on registration and ongoing compliance and disclosure issues.
Cornell University (BA, American Studies) 2002
Brooklyn Law School (JD, Notes and Comments Editor, Brooklyn Law Review, Richardson Merit Scholar) 2005
Admitted in New York 2006
Joined Clifford Chance 2007
Partner since 2013
Publications
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United States
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Financial services regulation
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Banking & securities regulation
11 October 2012Client Briefing -
International
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Banks
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Private funds
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Financial services & markets
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United States
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Investment management
6 July 2012Client Briefing -
Fund management
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Wealth management & private banking
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New York
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Exchange traded funds
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Banks
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Private funds
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United States
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Hedge funds
6 June 2012Client Briefing
New publications from Clifford Chance
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EU Political Update 27 - 31 May 2013
27 May 2013 -
The Hong Kong Stock Exchange consults on reforming the connected transaction rules
27 May 2013 -
Is there a Path through the Woods?
24 May 2013
