Practice Areas - Corporate Governance
- Emerging Company/Venture Capital
- Financial Crisis Advisory and Litigation
- Private Equity
- Prime Brokerage and Equity Lending
- Clean Tech
- Mergers and Acquisitions
| - Securities/Capital Markets
- Investment Banking and Broker-Dealer
- Investment Funds
- Financial Regulatory
- Fund Formation and Management
- Regulatory Compliance
- Corporate Strategic M&A
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| Contact Info | Telephone: 214-651-5615 Fax: 214-200-0617 http://www.haynesboone.com/Taylor_Wilson/
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| University | Amherst College, B.A., cum laude, 1985 |
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| Law School | Southern Methodist University Dedman School of Law, J.D., 1990 |
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| Admitted | 1990, Texas |
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| Memberships | Dallas Bar Association; State Bar of Texas (Member, Business Law Section, 1996—); American Bar Association (Member, Business Law Section; Venture Capital and Private Equity Committee, 2001—). |
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| Born | Dallas, Texas |
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| Biography | Taylor H. Wilson joined Haynes and Boone in 1990 and serves as chair of the firm's Investment Funds Practice Group. Mr. Wilson specializes in corporate/securities, private equity, mergers and acquisitions and general corporate matters, and regularly advises investment advisers to both domestic and offshore funds with respect to fund formation and investment management activities. Associate Senior Editor, The International Lawyer, 1989-1990. Recognized: a Best Lawyer in America in Securities Law (Woodward/White, Inc., 2007-2011); Texas Super Lawyer in Securities and Corporate Finance (2003-2010). |
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| ISLN | 902701067 |
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| Transactions | Mr. Wilson has completed numerous transactions, including the following recent matters: The registration of numerous clients as both investment advisers (state and federal) and commodity pool operators, and assistance with ongoing regulatory compliance matters; The formation of multiple master/feeder hedge fund structures with a wide range of investment strategies; The formation of domestic and offshore funds focused on investments in credit default swaps and similar derivative instruments; The formation of domestic and offshore funds focused on investments in energy-related assets and securities; The formation private equity funds focused on investments in domestic and international real estate; The formation of insurance-dedicated funds; The formation of funds of funds focused on investments in domestic hedge funds and private equity funds; The sale of an interest in a hedge fund management company to a third-party investor; Multiple acquisitions by private equity firms of portfolio companies and the documentation of related equity ownership structures; The representation of special committees of independent directors in connection with interested party transactions. |
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Documents by this lawyer on Martindale.com | |
Adjustments to Qualified Client StandardEvan Hall,Taylor H. Wilson, September 6, 2011 Pursuant to an order recently issued by the Securities and Exchange Commission (the “SEC”), the dollar amount thresholds in the definition of “qualified client” under Rule 205-3 under the Investment Advisers Act of 1940, as amended (the “Advisers Act”), are set...
Adjustments to Qualified Client StandardEvan Hall,Taylor H. Wilson, September 5, 2011 Pursuant to an order recently issued by the Securities and Exchange Commission (the “SEC”), the dollar amount thresholds in the definition of “qualified client” under Rule 205-3 under the Investment Advisers Act of 1940, as amended (the “Advisers Act”), are set...
SEC Adopts Definition of Family OfficeEvan Hall,Taylor H. Wilson, July 11, 2011 On June 22, 2011, the Securities and Exchange Commission (“SEC”) adopted a final rule defining “family offices” that will be excluded from the definition of “investment adviser” under the Investment Advisers Act of 1940, as amended (the “Advisers...
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