Mitra Surrell focuses her practice on regulatory and compliance issues affecting investment companies, investment advisory firms and investment company independent directors, as well as related issues affecting the investment management activities of financial institutions.
She regularly assists clients with the formation and registration of investment companies and provides ongoing advice with regard to a wide variety of regulatory compliance and securities law issues.
Mitra has extensively counseled clients in connection with reorganizations, mergers, acquisitions and other business combinations of investment companies.
Mitra received her J.D. in 2002 from American University’s Washington College of Law. In 1999, she received a B.S. with honors from University of Wisconsin-Madison.