Vedder Price

Vedder Price

Client Satisfaction
Region Area

Lawyers

John S. Marten

John S. Marten

Vedder Price, United States

Work Department

Investment Services

Position

Shareholder

Career

Mr. Marten has extensive experience representing clients in the investment management industry, including experience with mutual fund, closed-end fund and exchange-traded fund regulation, compliance, product design and registration, representation of fund independent directors, investment adviser matters, derivative instruments and other investment management regulatory issues.

Mr. Marten has represented clients on a broad range of matters, including:

Advising fund independent directors on fiduciary duties and conflicts of interest and other governance matters and counseling fund clients on all aspects of board administration and meeting preparation Advising investment companies and investment advisers on all aspects of ongoing compliance matters, including drafting and reviewing compliance policies and procedures and assisting clients in annual compliance reviews Handling all aspects of the formation of funds, including corporate formation, SEC registration and initial securities issuance Representing mutual fund clients in structuring complex alternative fund products, including negotiating derivative contracts Leading a series of fund reorganizations to streamline legal entities within a client's mutual fund complex Assisting a client in obtaining exemptive relief from the SEC to operate under an affiliated manager of managers structure Counseling clients in connection with preparing for, and responding to, SEC examination requests

Mr. Marten is also co-editor of the Investment Services Regulatory Update, a monthly publication that keeps clients updated on relevant regulatory developments.

Memberships

Member, American Bar Association

Education

Loyola University Chicago School of Law, J.D., 2004 Loyola University Chicago, B.A., 2001, summa cum laude

Mentions