Scott Gluck

Office Phone:

(212) 692-1000

Direct Phone:

(212) 471-1860


  Pro - Try 1 Week Free
 

    and access,

  •     75K PE/M&A Contacts
  •     +
  •     4.5K PE Firms
  •     3.6K M&A Advisors
  •     193K Transactions
  •     197K Companies

  •     Market Services
  •     Build Lists
  •     Research Sectors
  •     Uncover Opportunities

Bio

Scott Gluck practices in the area of corporate law, focusing on securities offerings and the regulatory, compliance and corporate activities of private fund advisers. Mr. Gluck is the principal author and executive editor of the Guide to Private Equity Regulatory Compliance, published by Thompson in Summer 2016. Mr. Gluck has extensive experience with fund formation, regulatory and compliance matters for private funds, including private equity and hedge funds. Mr. Gluck’s practice includes the formation of private funds, implementation of their ongoing compliance programs, securities offerings and corporate transactions. He has significant experience with federal, state and local "pay-to-play" rules regulating political involvement and fundraising by investment advisers. Mr. Gluck serves as outside regulatory counsel for the Association for Corporate Growth (ACG), a leading trade association for small and middle-market businesses and private funds. He advises ACG on a broad range of regulatory issues, including securities regulations, the regulation of private funds and tax policy. He also advices ACG's Private Equity Regulatory Task Force (PERT), which interacts with Congress, the Securities and Exchange Commission and other federal agencies on behalf of middle-market private equity firms. Mr. Gluck is a graduate of Columbia University Law School. He also holds an M.B.A. from the University of Southern California and a B.A. from the University of California, Berkeley.

Education