Darren has spent 30 years advising buy-side clients, including hedge fund managers, private fund managers, proprietary trading firms and family offices on UK and European regulatory and compliance issues. He is consistently named as a leading regulatory advisor in the alternative asset management fund sector.
Darren regularly advises a wide range of buy-side clients on all aspects of the law and regulation applicable to the discretionary management and trading, clearing and settlement of financial instruments and the marketing of fund interests.
Darren’s areas of expertise include market abuse prevention, long and short position disclosures compliance, regulatory capital and liquidity rules compliance, conflict of interest management, transaction reporting, SMCR compliance (including conduct rules and fitness and propriety determinations) and fund marketing regulation.


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