Meredith Abrams is a recognized authority in financial services regulation, focusing on investment funds, asset managers, and broker-dealers. She works with clients on matters ranging from fund structuring and compliance to regulatory reviews and enforcement. Meredith regularly advises on SEC and FINRA requirements, broker-dealer registration, and expansion into investment banking or capital markets.
Her experience includes guiding mergers and acquisitions involving broker-dealers and asset managers, as well as supporting private equity, real estate, and other fund managers on complex securities law issues. With a practical and business-oriented approach, Meredith helps clients meet their compliance obligations while pursuing growth and innovation in a highly regulated industry.
- J.d from New York Law School
- B.A from Boston University