Amy R. Rigdon practices in the area of corporate and securities law. Her practice includes investment management, mergers and acquisitions, general corporate law, and litigation. Specifically, her experience includes forming and providing counsel to investment advisers and onshore and offshore hedge funds. Ms. Rigdon advises clients on a range of matters, including federal and state registration and exemptions, compliance with state blue sky laws, fund offering documents, commodities registration and exemptions, legal fiduciary obligations of investment advisers and broker-dealers, and various compliance and regulatory issues. Additionally, Ms. Rigdon's practice includes drafting private placement memoranda for funds, drafting fund contracts with service providers, and drafting registration statements, amendments and withdrawals for investment advisers. She also has experience with derivative transactions and civil litigation. Ms. Rigdon is a member of the firm's Investment Management team.