Mr. Krishnamurthy's practice concentrates on securities and corporate law matters. He focuses on drafting and reviewing exemptive applications, no-action letters and registration statements for mutual funds, variable annuity and variable life insurance products. Mr. Krishnamurthy's experience includes drafting Rule 38a-1 compliance policies and procedures, as well as counseling clients on the implementation and ongoing oversight of those policies and procedures.
He has participated in market timing and late trading audits of mutual funds. Apart from the day-to-day representation of mutual fund and insurance company clients, Mr. Krishnamurthy has worked on various matters including exchange-traded fund issues, asset allocation program issues, hedge fund issues, and 1934 Act issues for insurance companies offering market value adjustment interests.
Professional Associations
American Bar Association
New York State Bar Association
Bar Association of the District of Columbia.
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