Foreside’s customized solutions allow our clients to focus on asset management without sacrificing compliance best practices. We deliver regulatory compliance services to investment advisers of registered pooled products, and directly to open-end, closed-end and exchange-traded funds. We also provide alternative investment compliance services to advisers of hedge funds, private equity, and commodity interests, as well as to traditional institutional asset managers. Foreside’s services include providing a named fund CCO, supporting an adviser CCO, SEC registration assistance, compliance program design, implementation and testing, and vendor selection and oversight. For more information, contact Susan Chamberlain at (866) 251-6920 x21960 or at schamberlain@foreside.com.