Paul Konovalov
About Paul Konovalov
I am an experienced legal counselor and advisor to domestic and international public and private companies, Boards of Directors, investment advisors, accounting firms, and other regulated financial industry-clients in corporate advice and legal and business counseling matters (regarding commercial agreements, corporate governance, compliance, regulatory, financings, intellectual property, employment/HR issues, business combinations and acquisitions) and regulatory and litigation matters (investigations by the SEC, CFTC, FINRA and other regulators, internal investigations, securities fraud, complex class actions and other business litigation) under federal and state regulatory regimes, including the Securities Act, Exchange Act, Investment Company Act, Investment Advisers Act, Commodity Exchange Act, Sarbanes-Oxley Act and Dodd-Frank Act. I have successfully represented clients in a wide range of highly-regulated industries, including investment advisory services, technology, financial services, oil and gas, fashion and sportswear, food and drink, accounting and auditing, pharmaceutical and medical device manufacturing, and real estate. Specialties: investment advisory services, asset management, regulated financial services, representation of public and private companies and institutions, internal and government investigations, class actions, complex commercial litigation, pre-litigation and business counseling and advice