My practice focuses on transactional and advisory matters related to derivatives and markets reform regulation, including documentation required for compliance with uncleared swap margin rules and other aspects of the Dodd-Frank Act (Title VII). I represent both buy and sell-side clients including leading dealers, banks, hedge funds and asset managers. I have extensive experience negotiating a wide range of markets trading documentation including ISDA master agreements, custodial arrangements, repurchase and securities lending agreements.
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