Practice Expertise

  • Capital Markets and Securities
  • Corporate
  • Debt and Equity Financing
  • Energy Investment Funds and MLPs

Areas of Practice

  • Capital Markets and Securities
  • Corporate
  • Debt and Equity Financing
  • Energy Investment Funds and MLPs
  • Family Office
  • Financial Regulatory
  • Fund Formation and Management
  • Investment Banking and Broker Dealer
  • Investment Management
  • Regulatory Compliance
  • View More

Profile

Evan Hall is a partner in the Investment Management Practice Group of Haynes and Boone. His practice focuses on corporate and securities matters, with a concentration on the formation, organization and operation of investment funds, investment advisers, commodity pool operators and commodity trading advisors. He regularly counsels clients on the formation and organization of investment funds, securities and other regulatory filings, investment adviser and commodity pool operator registration and ongoing compliance with federal and state laws applicable to investment funds, investment advisers and commodity pools. In addition, Evan also focuses on broker-dealer regulation, mergers and acquisitions and general corporate governance.

Bar Admissions
Texas

Education
J.D., Baylor University School of Law, 2007, magna cum laude; Articles Editor Baylor Law Review
B.A., Political Science, Baylor University, 2004, magna cum laude; Bob Bullock Scholar

Areas of Practice

  • Capital Markets and Securities
  • Corporate
  • Debt and Equity Financing
  • Energy Investment Funds and MLPs
  • Family Office
  • Financial Regulatory
  • Fund Formation and Management
  • Investment Banking and Broker Dealer
  • Investment Management
  • Regulatory Compliance

Professional Career

Significant Accomplishments
Formation, organization and operation of hedge funds, private equity funds, commodity pools, other private investment funds, investment advisers, commodity pool operators and commodity trading advisors.

Registration of investment advisers with the SEC and the Texas State Securities Board.

Registration of commodity pool operators and commodity trading advisors with the CFTC and NFA.

Preparation of securities and commodities filings with the SEC, CFTC and NFA, including Schedule 13G, Schedule 13D, Form 13F, and Forms 3, 4 and 5.

Compliance with federal and state laws applicable to private investment funds, commodity pools and investment advisers.



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