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Ken W. Muller
Partner
San Francisco
, (415) 268-6029
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Education
University of California, Berkeley (B.A., 1988)
;
University of California, Hastings College of the Law (J.D., 1992)
Practices
Private Equity Funds
Real Estate
Private Equity Investments + Buyouts
Bar Admissions
California
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SEC Raises Dollar Thresholds for Advisers to Charge Performance-Based Fees and Grandfathers Performance-Fee Contracts for Previously Unregistered Advisers
2/21/2012
Broker-Dealer Compliance + Regulation
,
Investment Management
,
Private Equity Funds
Client Alert
PE/VC Partnership Agreements Study 2012-2013 (2nd Ed.)
Thomson Reuters
January 2012
Emerging Companies + Venture Capital
,
Private Equity Funds
Article
New Investment Adviser Rules: Part 2
INSIGHTS
Volume 25, Number 9
9/2011
Broker-Dealer Compliance + Regulation
,
Corporate
,
Financial Institutions + Financial Services
,
Investment Management
,
Mergers + Acquisitions
,
Private Equity Funds
Article
Reprinted with permission.
New Investment Adviser Rules: Part 1
INSIGHTS
Volume 25, Number 8
8/1/2011
Investment Management
,
Private Equity Funds
Article
Reprinted with permission.
The Impact of the Dodd-Frank Wall Street Reform and Consumer Protection Act on Real Estate Investment Advisers and Real Estate Funds Exemptions: Part 2 of 2
The Investment Lawyer, Vol. 18, No. 8
August 2011
Article
Reprinted from
The Investment Lawyer
August 2011, Volume 18, Number 8, pages 16-25, with permission from Aspen Publishers, Wolters Kluwer Law & Business, New York, NY, 1-800-638-8437, www.aspenpublishers.com
SEC Proposes Rules Amending the “Qualified Client” Standard and Issues Final Order Revising Dollar Amount Tests
7/28/2011
Investment Management
,
Private Equity Funds
Client Alert
The SEC’s New Dodd-Frank Advisers Act Rulemaking: An Analysis of the SEC’s Implementation of Title IV of the Dodd-Frank Act
Harvard Business Law Review
(Online Edition)
7/28/2011
Article
Venture Fund Private Placement Memorandum
Chapter in
Venture Capital & Public Offering Negotiation
Aspen Law & Business Publishers
Summer 2011
Book
SEC Implements Advisers Act Provisions of Dodd-Frank; Extends Investment Adviser Registration Deadlines
6/24/2011
Emerging Companies + Venture Capital
,
Financial Institutions + Financial Services
,
Investment Management
,
Private Equity Funds
,
Private Equity Investments + Buyouts
,
Securities: Regulatory + Enforcement
Client Alert
Changing Landscapes:
A Comparison of the 2011 ILPA Principles with the 2009 ILPA Principles
Journal of Private Equity
Summer 2011
Article
New SEC Releases Affect Registration and Compliance Obligations of Real Estate "Investment Advisers"
PREA Quarterly
Summer 2011
Article
SEC Proposes Rules Amending the "Qualified Client" Standard
Bloomberg Law Reports – Securities Law
, Vol. 5 No. 20
5/16/2011
Article
Impact of the Dodd-Frank Act on Real Estate Adviser Registration, Exemptions, and Compliance
PREA Quarterly
Spring 2011
Article
Investment Adviser Registration for Private Equity Fund Managers
3/4/2011
Investment Management
,
Private Equity Funds
Client Alert
A Revised Net Worth Standard for Accredited Investors
Insights
, Volume 25 Number 3
March 2011
Private Equity Funds
Article
Reprinted from Insights March 2011, Volume 25, Number 3, pages 17-21, with permission from Aspen Publishers
2011 Real Estate Fund Structuring: The Impact of the Dodd-Frank Wall Street Reform and Consumer Protection Act
PREA Quarterly
Winter 2011
Article
Reproduced with permission from PREA Quarterly.
The Impact of the Dodd-Frank Wall Street Reform and Consumer Protection Act on Real Estate Advisers and Real Estate Fund Exemptions, Part I
The Investment Lawyer
, Vol. 18 Number 2
2/2011
Article
Reprinted with permission
The Impact of Title IV of the Dodd-Frank Act on Investment Advisers
Bloomberg Law Reports: Securities Law
Vol. 5, No. 4
1/24/2011
Broker-Dealer Compliance + Regulation
,
Capital Markets
,
Corporate
,
Financial Institutions + Financial Services
,
Investment Management
Article
Originally published by Bloomberg Finance L.P. Reprinted with permission. The opinions expressed are those of the author.
ILPA Guidelines: Version 2.0 Offers Greater Flexibility for LPs and GPs
1/21/2011
Private Equity Funds
Client Alert
SEC Implements Advisers Act Provisions of Dodd-Frank Act
Insights
, Volume 25, Number 1
1/2011
Investment Management
,
Private Equity Funds
Article
The SEC's Proposed Rule Regarding the Family Offices Exemption
Bloomberg Law Reports: Securities Law
Vol. 4, Issue #50
12/12/2010
Broker-Dealer Compliance + Regulation
,
Capital Markets
,
Corporate
,
Financial Institutions + Financial Services
,
Investment Management
Article
Originally published by Bloomberg Finance L.P. Reprinted with permission. The opinions expressed are those of the author.
California Assembly Bill No. 1743 Amends California "Pay to Play" Laws: A Detailed Summary
BNA Securities Regulation & Law Report
11/1/2010
Broker-Dealer Compliance + Regulation
,
Investment Management
,
Private Equity Funds
Article
Assessing the Impact of Proposed California Assembly Bill No. 1743 on "Pay to Play"
Bloomberg Law Reports: Securities Law
Vol. 4, Issue #40
10/4/2010
Broker-Dealer Compliance + Regulation
,
Investment Management
,
Private Equity Funds
Article
Reprinted with permission: 2010. Bloomberg Law Reports® is a registered trademark and service mark of Bloomberg Finance L.P.
Changes in Registration and Reporting Requirements for Private Funds under the Investment Advisers Act of 1940 in the Dodd-Frank Act
7/19/2010
Broker-Dealer Compliance + Regulation
,
Capital Markets
,
Financial Institutions + Financial Services
,
Investment Management
,
Private Equity Funds
Client Alert
Pending New York State Proposal to Tax Nonresidents on “Carried” Interests
7/2/2010
Investment Management
,
Private Equity Funds
,
State + Local Tax
Client Alert
An Examination of the Private Equity Proposals in the Senate Reform Bill
Securities Regulation & Law
6/14/2010
Private Equity Funds
,
Private Equity Investments + Buyouts
Article
Reproduced with permission from
Securities Regulation & Law Report
Custody & Protection:
SEC’s Custody Rule Amendments and Implications for Registered Private Fund Advisers
Bloomberg Law Reports
, Vol. 4, No. 9
5/3/2010
Broker-Dealer Compliance + Regulation
,
Private Equity Funds
,
Private Equity Investments + Buyouts
Article
White House Proposal Calls for Increased Regulation of Private Investment Funds in Broad Attempt to Restore Confidence in Integrity of Financial System
6/19/2009
Corporate
,
Investment Management
,
Private Equity Investments + Buyouts
Client Alert
Connecticut Lawmakers Modify Proposed Legislation Regulating Private Funds
4/17/2009
Banking + Financial Services
,
Corporate
,
Private Equity Funds
,
Private Equity Investments + Buyouts
Client Alert
Connecticut-Based Private Funds Continue to Face Increased Regulation
3/19/2009
Banking + Financial Services
,
Corporate
,
Emerging Companies + Venture Capital
,
Private Equity Funds
,
Private Equity Investments + Buyouts
Client Alert
Regulating Private Funds and Their Investment Advisers:
A Summary of Recently Proposed Legislation
2/10/2009
Banking + Financial Services
,
Corporate
,
Investment Management
,
Private Equity Funds
,
Private Equity Investments + Buyouts
Client Alert
New York Governor Proposes Taxing Nonresidents on “Carried Interest”
1/6/2009
Banking + Financial Services
,
Corporate
,
Investment Management
,
Private Equity Funds
,
Private Equity Investments + Buyouts
,
State + Local Tax
Client Alert
Ken Muller Named by
Institutional Investor
as one of 10 Rising Stars in Private Equity
One of only 10 attorneys worldwide to make list of top 10 Rising Stars in Private Equity and M&A
9/28/2008
Client Alert
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