Jason has extensive experience representing investment advisers to private equity funds, real estate funds, hedge funds, separate accounts and commodity pools. He has assisted numerous leading private equity and real estate firms in registering as investment advisers with the SEC and developing Advisers Act compliance programmes. Jason has worked with over 40 investment advisers on SEC examinations and regularly advise clients on SEC enforcement actions.

He has also advised a wide variety of registered investment advisers on Advisers Act and other regulatory matters as new funds or products are launched, compliance questions arise or new rules are adopted.