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PETER C. NOYES
EXT. 225
pnoyes@cshzlaw.com

 

Peter C. Noyes, of counsel to the Firm, has been in practice for over 25 years. Mr. Noyes’ practice focuses on corporate transactions and securities law, with an emphasis on investment management matters, including regulatory, compliance, and structural issues on behalf of private investment funds (both domestic and international), as well as registered and unregistered investment advisers. His practice primarily includes advice to private investment funds, funds of funds, and investment advisers regarding applicable securities and other laws, including, among others, the Investment Advisers Act of 1940, as amended, the Investment Company Act of 1940, as amended, and the Dodd-Frank Act. In addition Mr. Noyes advises on all other aspects of their respective operations, including domestic and offshore fund structures, fund formation, portfolio investments, managed account agreements, prime brokerage and custodial agreements, compliance manuals and policies, and other agreements typically entered into by private investment funds, funds of funds, and investment advisers. Additionally, Mr. Noyes works with offshore counsel and other offshore service providers regarding offshore funds and advisers. He also represents investment advisory clients in connection with SEC examinations.
In addition, Mr. Noyes advises corporations, general and limited partnerships, limited liability companies, and investors in a broad range of corporate and securities matters, including mergers and acquisitions, joint ventures, license agreements, employment agreements, and other general corporate and business matters, as well as public and private offering of securities under the Securities Act of 1933, as amended, such as private placements under Regulation D, and offshore placements under Regulation S, and the reporting obligations under the Securities Exchange Act of 1934, as amended.
Mr. Noyes received a Juris Doctor degree from New York Law School, and served as an Articles Editor of the New York Law School Law Review. He received a Bachelor of Science degree in Animal Science from Cook College, Rutgers University.
Mr. Noyes is admitted to practice law in the States of New York and New Jersey and the District of Columbia.

PETER C. NOYES
EXT. 225
pnoyes@cshzlaw.com

 

Peter C. Noyes, of counsel to the Firm, has been in practice for over 25 years. Mr. Noyes’ practice focuses on corporate transactions and securities law, with an emphasis on investment management matters, including regulatory, compliance, and structural issues on behalf of private investment funds (both domestic and international), as well as registered and unregistered investment advisers. His practice primarily includes advice to private investment funds, funds of funds, and investment advisers regarding applicable securities and other laws, including, among others, the Investment Advisers Act of 1940, as amended, the Investment Company Act of 1940, as amended, and the Dodd-Frank Act. In addition Mr. Noyes advises on all other aspects of their respective operations, including domestic and offshore fund structures, fund formation, portfolio investments, managed account agreements, prime brokerage and custodial agreements, compliance manuals and policies, and other agreements typically entered into by private investment funds, funds of funds, and investment advisers. Additionally, Mr. Noyes works with offshore counsel and other offshore service providers regarding offshore funds and advisers. He also represents investment advisory clients in connection with SEC examinations.
In addition, Mr. Noyes advises corporations, general and limited partnerships, limited liability companies, and investors in a broad range of corporate and securities matters, including mergers and acquisitions, joint ventures, license agreements, employment agreements, and other general corporate and business matters, as well as public and private offering of securities under the Securities Act of 1933, as amended, such as private placements under Regulation D, and offshore placements under Regulation S, and the reporting obligations under the Securities Exchange Act of 1934, as amended.
Mr. Noyes received a Juris Doctor degree from New York Law School, and served as an Articles Editor of the New York Law School Law Review. He received a Bachelor of Science degree in Animal Science from Cook College, Rutgers University.
Mr. Noyes is admitted to practice law in the States of New York and New Jersey and the District of Columbia.