Bibb L. Strench

Bibb is a partner in the Corporate Transactions & Securities practice group. He focuses on exchange-traded funds (ETFs), closed-end funds, mutual funds and investment advisers. Bibb provides advice on regulatory, compliance, entity formation, auditor independence, corporate governance and other issues related to the operation of the aforementioned businesses. He has experience with unique fund structures including funds with alternative investment strategies, faith-based restrictions and multi-tier levels.

Bibb began his career as a staff attorney in the Division of Investment Management of the U.S. Securities and Exchange Commission, where he was principally responsible for granting exemptive orders and responding to no-action and interpretive requests under the Investment Company Act of 1940 and Investment Advisers Act of 1940. He has argued 1940 Act issues in federal and state courts, including the landmark mutual fund independent director case, Yacktman v. Carson, et al, and participated in the development of the Uniform Statutory Trust Entity Act.

Good to know

Job Types Partner
Areas of Practice 1) Corporate Transactions & Securities and 2) Investment Management
Law School University of Virginia School of Law (J.D.,1988)
Education Vanderbilt University (B.A.,1984)
Bar Member / Association District of Columbia State Bar Associations
Most recent firm Thompson Hine LLP
LinkedIn Profile https://www.linkedin.com/in/bibb-lamar-strench-a3a8b14
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