Jake Wiesen advises investment funds, their independent directors and other clients in the investment management industry with respect to mutual fund, exchange-traded fund (ETF) and closed-end fund regulation, including legal and compliance, governance, operational and transactional matters.
From product design and registration to strategic transactions, he helps his clients navigate a broad range of issues in a highly regulated and dynamic business environment.
Jake Wiesen advises investment funds, their independent directors and other clients in the investment management industry with respect to mutual fund, exchange-traded fund (ETF) and closed-end fund regulation, including legal and compliance, governance, operational and transactional matters. From product design and registration to strategic transactions, he helps his clients navigate a broad range of issues in a highly regulated and dynamic business environment.
Jake serves as Co-Editor of the firm’s Investment Services Regulatory Update, a monthly publication discussing the latest regulatory developments.
Experience
- Advised fund and board clients on a variety of strategic transactions, including fund adoptions, ETF conversions, and affiliated and third-party fund mergers.
- Counseled multiple fund sponsors and boards in launching new products in the registered fund space, including unique actively-managed and index-based strategies as well as innovative product types such as interval funds and SMA completion funds.
- Guided clients through significant regulatory changes impacting funds, including with respect to fund liquidity, ETF and money market fund regulation, derivatives and valuation practices.
Credentials
Education
- University of Illinois College of Law, J.D., magna cum laude, 2016
- University of Illinois, B.A., summa cum laude, 2012
Bar Admissions
- Illinois, 2016
Recognition
- Leading Lawyers – Securities/Venture Finance, Emerging Lawyer (2026)
- Best Lawyers in America: Ones to Watch® – Banking and Finance Law (2026)
- Super Lawyers – Securities & Corporate Finance, Rising Star (2024-2026)
Insights & Events
Publications
SEC and Adviser/Broker-Dealer Agree to Settle Charges Alleging Failure to Disclose Conflicts of Interest with Respect to Revenue Sharing
June 3, 2026
Publications
FinCEN Proposes Rule to Reform AML/CFT Compliance Framework
June 3, 2026
Publications
SEC Expands Co-Investment Relief to Open-End Funds and Streamlines Board Approval Process for Affiliated Transactions
June 3, 2026
Publications
SEC Grants Exemptive Relief and No-Action Relief from Exchange Act Requirements to Facilitate the Operation of Dual-Class ETFs
June 3, 2026
Publications
Investment Services Regulatory Update June 2026
June 3, 2026
Publications
Director of SEC’s Division of Enforcement Delivers Remarks Outlining Division Priorities
April 3, 2026
Publications
SEC Approves Intraday Trading and Settlement for Tokenized Money Market Fund
April 3, 2026
Publications
SEC Staff Issues Additional Names Rule FAQs
April 3, 2026
