FacultyFaculty/Author Profile
Leor Landa

Leor Landa

Davis Polk & Wardwell LLP

New York, NY, USA


Mr. Landa is a partner in Davis Polk’s Investment Management/Private Funds Group. He advises a wide range of clients on the development, formation, marketing and operation of private investment funds, including private equity funds, hedge funds, hybrid funds, real estate funds, secondary funds, funds of funds, fund and advisory platforms and asset allocation products. He also regularly provides regulatory and compliance advice to his private fund clients.

He advises fund managers on compensation and profit sharing arrangements. He also advises on structuring and executing private equity, structured equity and public market transactions as well as acquisitions of investment advisers.

Mr. Landa also represents several large institutional investors that invest in private funds.

Representative private fund clients have included Blackstone Strategic Partners, Credit Suisse, Avenue Capital, Oaktree Capital, Mudrick Capital, Hitchwood Capital, Perella Weinberg Partners, Reverence Capital, Czech Asset Management, Citadel, Fore Research, Morgan Stanley and J.P. Morgan.

Leor Landa is associated with the following items:
Course Handbooks  Course Handbooks Hedge Fund Management 2016
Hedge Fund Management 2017
CHB Chapters  CHB Chapters David Grim, Director, U.S. Securities and Exchange Commission, Division of Investment Management, Remarks to PLI Investment Management Institute 2016 (March 3, 2016) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Office of Compliance Inspections and Examinations, National Exam Program, Examination Priorities for 2016 (January 2016) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Division of Investment Management, Annual Staff Report Relating to the Use of Data Collected from Private Fund Systemic Risk Reports (August 13, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Division of Investment Management, IM Guidance Update, No. 2014-07, Private Funds and the Application of the Custody Rule to Special Purpose Vehicles and Escrows (June 2014) - Hedge Fund Management 2016, Monday, September 19, 2016
Davis Polk, Client Memorandum, Volcker Rule: Observations on Interagency FAQs, OCC Interim Examination Guidelines (June 18, 2014) - Hedge Fund Management 2016, Monday, September 19, 2016
Davis Polk, Client Newsletter, Investment Management Regulatory Update, BEA Releases New Benchmark Survey for Financial Services Providers, Including Managers of Hedge, Private Equity and Other Private Funds and Separate Accounts (September 24, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Division of Investment Management, IM Guidance Update, No. 2015-02, Cybersecurity Guidance (April 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Office of Compliance Inspections and Examinations, National Exam Program, Risk Alert, Examination of Advisors That Outsource Their Chief Compliance Officers, Volume V, Issue 1 (November 9, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
The European Union’s Alternative Investment Fund Managers Directive (AIFMD): A Practitioner’s View (June 12, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
Private Funds Statistics Fourth Calendar Quarter 2014, U.S. Securities and Exchange Commission, Division of Investment Management, Risk and Examinations Office (December 30, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Office of Compliance Inspections and Examinations, National Exam Program, Risk Alert, OCIE’s 2015 Cybersecurity Examination Initiative, Volume IV, Issue 8 (September 15, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
Davis Polk, Client Newsletter, Investment Management Regulatory Update, SEC Staff Issues Report on Definition of “Accredited Investor” (January 27, 2016) - Hedge Fund Management 2016, Monday, September 19, 2016
Davis Polk, Client Newsletter, Investment Management Regulatory Update, CFTC Responds to FAQs Regarding Form CPO-PQR (November 24, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
Press Release 2016-38, U.S. Securities and Exchange Commission, SEC Announces Creation of Office of Risk and Strategy for its National Exam Program: Peter B. Driscoll Named Chief Risk and Strategy Officer (March 8, 2016) - Hedge Fund Management 2016, Monday, September 19, 2016
Mary Jo White, Chair, U.S. Securities and Exchange Commission, Remarks at MFA Outlook 2015 Conference—“Five Years On: Regulation of Private Fund Advisers after Dodd-Frank” (October 16, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Agency Financial Report, Fiscal Year 2015 (November 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Release No. 2015-20, SEC Alerts Investors, Industry on Cybersecurity (February 3, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
Davis Polk, Client Newsletter, Investment Management Regulatory Update, SEC Issues Order Approving Higher Net Worth Threshold for Qualified Clients under the Advisers Act (June 27, 2016) - Hedge Fund Management 2016, Monday, September 19, 2016
Press Release 2016-71, U.S. Securities and Exchange Commission, SEC Adopts Business Conduct Standards for Security-Based Swap Dealers and Major Security-Based Swap Participants (April 15, 2016) - Hedge Fund Management 2016, Monday, September 19, 2016
Andrew Ceresney, U.S. Securities and Exchange Commission, Director of the Division of Enforcement, Keynote Address 2015 National Society of Compliance Professionals, National Conference (November 4, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Division of Investment Management, IM Guidance Update, No. 2016-03, FAST Act Changes Affecting Investment Advisors to Small Business Companies (March 2016) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Office of Compliance Inspections and Examinations, National Exam Program, Risk Alert, Volume IV, Issue 4, Cybersecurity Examination Sweep Summary (February 3, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
Press Release 2015-240, U.S. Securities and Exchange Commission, SEC Staff Publishes Private Funds Statistics Report (October 16, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
Davis Polk, Client Newsletter, Investment Management Regulatory Update, SEC Proposes Higher Net Worth Threshold for Qualified Clients under the Advisers Act (May 27, 2016) - Hedge Fund Management 2016, Monday, September 19, 2016
Davis Polk, Client Memorandum, SEC Adopts Registration Rules for Security-Based Swap Dealers and Major Security-Based Swap Participants (August 26, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
U.S. Securities and Exchange Commission, Responses to Frequently Asked Questions Regarding the Commission’s Rule under Section 13 of the Bank Holding Company Act (March 4, 2016) - Hedge Fund Management 2016, Monday, September 19, 2016
Andrew J. Donohue, Chief of Staff, U.S. Securities and Exchange Commission, Remarks at NRS 30th Annual Fall Investment Adviser and Broker-Dealer Compliance Conference (October 14, 2015) - Hedge Fund Management 2016, Monday, September 19, 2016
Davis Polk, Investment Management Regulatory Update - Hedge Fund Management 2017, Wednesday, September 13, 2017
U.S. Securities and Exchange Commission, Office of Compliance Inspections and Examinations, Examination Priorities for 2017 - Hedge Fund Management 2017, Wednesday, September 13, 2017
U.S. Securities and Exchange Commission, Office of Investor Education and Advocacy, Investor Bulletin, SEC Pub. No. 139, Hedge Funds (February 2013) - Hedge Fund Management 2017, Wednesday, September 13, 2017
Davis Polk, Lex et Brexit—The Law and Brexit, Issue 8 (October 24, 2016) - Hedge Fund Management 2017, Wednesday, September 13, 2017
On-Demand Web Programs  On-Demand Web Programs Hedge Fund Management 2017, Wednesday, September 20, 2017, New York, NY
Live Seminar  Live Seminar Nineteenth Annual Private Equity Forum, Monday, July 16, 2018, New York, NY
Hedge Fund Management 2018, Wednesday, September 12, 2018, New York, NY
Live Webcast  Live Webcast Nineteenth Annual Private Equity Forum, Monday, July 16, 2018, New York, NY
Hedge Fund Management 2018, Wednesday, September 12, 2018, New York, NY
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