Revathi Raghavan#6790

Revathi Raghavan

Reva has extensive experience in advising sponsors on the regulatory aspects of fund formation and the regulations governing fund sponsors across all major alternative investment strategies. In particular, Reva advises on a broad range of EU and UK financial services regulations, including the UK Senior Managers and Certification Regime (SMCR), the Investment Firms Prudential Regime (IFPR), the UK Market Abuse Regulation (MAR), the EU Markets in Financial Instruments Directive II (MiFID II), the Alternative Investment Fund Managers Directive (AIFMD), SFDR, and the Taxonomy Regulation.
Contributed to

4

EU SFDR consultation update and sustainability disclosure trends—FAQs
EU SFDR consultation update and sustainability disclosure trends—FAQs
Practice notes

These Q&As answer some of the most frequently asked questions on the EU Sustainable Finance Disclosure Regulation (SFDR) (Regulation (EU) 2019/2088) consultations, including the review of the delegated regulations and the review of SFDR (SFDR II).

EU SFDR Regulatory Technical Standards—FAQs
EU SFDR Regulatory Technical Standards—FAQs
Practice notes

These Q&As answer some of the most frequently asked questions on the EU Sustainable Finance Disclosure Regulation (EU SFDR) (Regulation (EU) 2019/2088, as amended by Regulation (EU) 2020/852) regulatory technical standards (RTS). These Q&As cover, among other, product classification; Article 8 characteristics; principal adverse impact (PAI) data collection; use of third-party data; human rights due diligence and impact on non-EU managers.

EU Shareholder Rights Directive II
EU Shareholder Rights Directive II
Practice notes

This Practice Note gives an overview of Directive (EU) 2017/828 which amended Directive 2007/36/EC (as amended, the Shareholder Rights Directive II (SRD II)) and impact on asset managers.

Shareholder Rights Directive II
Shareholder Rights Directive II
Practice notes

This Practice Note gives an overview of Directive (EU) 2017/828 which amended Directive 2007/36/EC (as amended, the Shareholder Rights Directive II (SRD II)) and impact on asset managers.

Practice Area

Panel

  • Contributing Author

Experience

  • Allen & Overy LLP (2009 - 2019)

Education

  • The George Washington University Law School (2008)
  • NALSAR University of Law (2007)

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