Skye’s practice focuses on representation of institutional investors in connection with investments in private equity and other commingled vehicles, including buyout, venture capital, distressed debt, special opportunity, infrastructure, hedge and real estate funds, as well as secondary market purchases and divestments. Skye routinely assists clients with corporate structuring, compliance and governance issues, including the application of US anti-money laundering, sanctions and know-your-customer laws and regulations.

In addition, Skye provides advice with respect to the formation, organization and operation of various types of domestic and offshore investment funds and the structuring of single investor funds and managed accounts. She also has experience with SEC and state level investment adviser registration and related SEC regulatory compliance matters.

Skye spent a significant amount of time in the Middle East, providing advice to sovereign wealth funds with respect to private equity and hedge fund investments and direct local investments.