一名身着深色西装、浅蓝色衬衫和绿色花纹领带的男子对着镜头微笑,背景是一间模糊的公司律师事务所。

斯蒂芬-梅利

合作伙伴

斯蒂芬-梅利

合作伙伴

Stephen M. Meli is co-chair of the firm’s Fund Formation & Investment Management Practice. He leads a dedicated team of corporate lawyers and integrated specialists who advise clients on all aspects of the structuring, formation, and ongoing management of private investment funds and their respective management companies, on secondary transactions and GP-led fund restructurings as well as a broad cross-section of institutional investors actively investing into private investment funds.

基金设立

Steve focuses his practice on lower and middle market buyout, growth equity, venture capital, credit, and other private funds, including funds-of-funds and secondary funds. With an emphasis on commercial sense and practicality, Steve advises sponsors on every aspect of their funds business, including the structuring, marketing, operating, and compliance of their private funds.

Emerging/Spin-out Fund Sponsor

Steve has a special focus on emerging, spin-out, “first time” and fund-less sponsors establishing their initial pooled investment vehicles. This focus includes advising on separation matters, placement agent arrangements, commercial terms and conditions, internal governance/employee and management company arrangements, SEC registration and compliance, carried interest structuring, and co-investment arrangements.

Fund Restructuring and Secondaries

Steve regularly represents lower and middle market sponsors in connection with GP-led and other complex secondary transactions, including continuation funds, fund restructurings, and tender offers. Steve also represents several secondary investors in connection with their participation in continuation funds and similar transactions.

Steve’s LP secondary transaction experience includes advising both U.S. and non-U.S. buyers in the structuring and negotiating of both individual and bulk acquisitions of private fund interests, including LOI negotiation, fund interest diligence, purchase agreement terms and acquisition structuring. Steve also represents both U.S. and non-U.S. sellers of private fund interests, including advice on portfolio preparation, adviser and buyer selection, purchase agreement terms and closing matters.

机构投资者代表

Steve works with endowments, charities, sovereign and private pension funds, insurance companies, funds-of-funds, and secondary funds on all of their alternative investment matters, including the negotiation and structuring of primary investments and portfolio company co-investments.

Prior to joining Foley, Steve was a partner in the Private Investment Funds Group of Proskauer Rose LLP.

奖项与表彰

  • Recognized by Chambers USA: America’s Leading Lawyers as Band 4 in the practice area of Private Equity: Fund Formation (2025)

演讲和出版物

  • Quoted, “SEC Enforcement Action Targets PE Sponsor’s Write Down Mechanics and Related Disclosures to LPs,” Private Equity Law Report, June 29, 2023
August 14, 2025 Foley Viewpoints

SEC Intensifies Scrutiny of Chief Compliance Officers

Two recent SEC enforcement actions serve as a sharp reminder that Chief Compliance Officers (CCOs) can face personal liability for what...
September 25, 2025 Events

第二届私人基金经理年会

2025 年 6 月 5 日 新闻发布

富理达在 2025 年《钱伯斯美国》杂志中名列前茅

Foley & Lardner LLP 很荣幸再次被《钱伯斯与合伙人》(Chambers & Partners)评为 2025 年版《钱伯斯美国:美国商业领先律师》(Chambers USA: America's Leading Lawyers for Business)中的美国领先律师事务所之一。
May 30, 2025 Deals and Wins

Foley Advises Five Elms Capital in $1.1B Fund VI to Back High-Growth Software Companies

Foley & Lardner LLP served as legal advisor to Five Elms Capital, a software-focused growth equity firm, in connection with the October 2024 closing of Five Elms VI with $1.1 billion in total commitments.
A hand points at a digital screen displaying a financial candlestick chart with red and green bars, reflecting market data analysis often conducted in a corporate law office or by lawyers in Chicago.
April 1, 2025 Foley Viewpoints

Updated SEC Marketing Rule FAQ: Clarification Regarding Presentation of Net Extracted Performance

On March 19, 2025, the Securities and Exchange Commission staff issued an update to its frequently asked questions guidance with respect to registered investment advisers’ compliance with Rule 206(4)-1 under the Investment Advisers Act of 1940
July 3, 2024 Deals and Wins

Foley Serves as Fund Counsel to Iron Path Capital in Close of $273M Fund I

Foley & Lardner LLP served as fund counsel to Iron Path Capital in the formation and closing of Iron Path Capital Fund I.