Laure Sguario is a member of the firm’s Investment Services group. She focuses her practice on legal and compliance matters for investment advisers and unregistered investment vehicles, including private equity, hedge, venture capital, continuation, and special situation funds, as well as separately managed accounts.
Laure advises clients on all aspects of private fund formation, including structuring, marketing, and side letter negotiations, and provides guidance on top-level structuring of investment advisers and general partners, such as governance, employment matters, restrictive covenants, incentive arrangements, and ongoing compliance. She also represents investors and limited partners in structuring, making, and monitoring investments across a wide range of asset classes, including traditional securities, real estate, aircraft, credit instruments, and other alternative assets. In addition to her U.S. practice, Laure has experience assisting clients with private fund launches and regulatory compliance matters in Europe, including under European Union and Luxembourg investment laws.
Credentials
Education
- Boston University School of Law, LL.M., 2019
- Panthéon-Assas University Paris II, LL.M., magna cum laude, 2018
- Panthéon-Assas University Paris II, LL.B., magna cum laude, 2016
Bar Admissions
- District of Columbia, 2025
- New York, 2021
Languages
- French
Insights & Events
Deals & Transactions
Vedder Price Guides Chicago-Based Promus Holdings in Strategic Sale of Select Business Lines to Waverly Advisors
December 8, 2025
Publications
Significant Developments for Registered Closed End Funds of Private Funds
August 19, 2025
Publications
SEC Staff Updates Form PF Frequently Asked Questions
April 29, 2025
Deals & Transactions
Vedder Price Advises Aero Capital Solutions in Capital Raise for Investment Vehicle Set to Deploy $3.5 Billion in Aircraft Leasing
April 14, 2025
Publications
SEC Provides Helpful Marketing Rule FAQ Guidance
April 2, 2025
Publications
SEC Staff No-Action Letter Allows Issuers to Rely on High Minimum Investment Amounts to Verify Purchasers in Rule 506(c) Offerings
April 2, 2025
Publications
Investment Services Regulatory Update November 2024
November 26, 2024
Publications
SEC Settles Enforcement Proceedings Against Dually Registered Broker-Dealer and Investment Adviser for Alleged Violations of Regulation Best Interest
November 26, 2024
