Aron Estaver
About Aron Estaver
Aron Estaver is a Senior Attorney specializing in Corporate and Finance law at Arnold & Porter Kaye Scholer LLP in Los Angeles, California. He has extensive experience in advising clients on corporate transactions, compliance with regulatory requirements, and the governance of alternative investment vehicles.
Work at Arnold & Porter
Aron Estaver has served as a Senior Attorney in the Corporate & Finance practice group at Arnold & Porter Kaye Scholer LLP since 2008. Based in Los Angeles, California, he has accumulated 16 years of experience in this role. His work primarily involves advising clients on a variety of corporate and transactional matters, including joint venture arrangements and loan servicing agreements. Estaver's extensive legal background enables him to navigate complex regulatory environments effectively.
Previous Experience at Seward & Kissel LLP
Before joining Arnold & Porter, Aron Estaver worked as an Associate in Investment Management at Seward & Kissel LLP from 2005 to 2008. During his three years there, he gained valuable experience in the legal aspects of investment management, which laid the groundwork for his future roles in corporate law.
Legal Counsel at York Capital Management
Aron Estaver also held the position of Legal Secondee / Legal Counsel at York Capital Management from 2019 to 2020. In this role, he provided legal counsel on asset transfers and sales, as well as nondisclosure agreements. This experience further enhanced his expertise in corporate transactions and compliance.
Education and Expertise
Aron Estaver earned his Bachelor of Arts degree in Politics from Brandeis University, where he studied from 1998 to 2002. He then attended Vanderbilt University Law School, obtaining his Juris Doctor (J.D.) from 2002 to 2005. His educational background supports his specialization in the formation, structuring, and governance of hedge funds, private equity funds, and other alternative investment vehicles.
Regulatory Compliance Expertise
Aron Estaver possesses extensive knowledge of compliance with the rules and regulations set forth by the Commodity Futures Trading Commission and the National Futures Association. He also has particular expertise in meeting periodic SEC reporting requirements, making him a valuable resource for clients navigating regulatory challenges in the financial sector.