Bradley G. Kulman practices corporate and securities law, with particular focus on mergers and acquisitions and private equity (including fund formation, seed investments in emerging fund managers and portfolio company acquisitions and dispositions). He also has extensive experience representing buyers and sellers of investment management businesses. Mr. Kulman represents several prominent family offices in connection with their investment activities and succession planning.

Mr. Kulman counsels clients involved in general corporate and securities transactions, including venture capital and other public and private offerings of debt and equity securities. He has served as “outside general counsel” for portfolio companies of private equity firms and real estate development and management companies. Mr. Kulman is a former resident partner of the firm’s Budapest office and has represented U.S. and European interests in connection with the acquisition of significant Hungarian businesses, including the country’s largest banks, electricity supply and generation companies.

Mr. Kulman represents numerous pro bono clients including organizations focused on music instruction, improving reading comprehension for students in public schools and healthcare.


Mr. Kulman's recent transactions include representing:
  • Atlas Merchant Capital in connection with its investment in Somerset Reinsurance, a provider of reinsurance to the life insurance and annuity sectors.
  • Broadridge Financial Solutions in the acquisition of the trade processing and directed trustee business of Wilmington Trust Retirement and Institutional Services.
  • Challenger Financial, an Australian investment management firm, in connection with its investment in Kudu Investment Partners and Kudu Investment Management.
  • Fred Alger Management in venture capital and private equity investments.
  • XL Catlin in private equity investments.
  • American Federation of Teachers in connection with a joint venture with TSL Education to establish the Share My Lesson website which permits K-12 teachers to share learning materials.
  • JPMorgan’s Commingled Pension Trust Fund in establishing a joint venture with Alony Hetz Properties and Investments that controls Carr Properties, a preeminent owner, operator and developer of real estate in the Washington, DC area.
  • Jefferies Capital Partners in connection with its investment in Epic Pantheon International Gas Shipping Ltd., an owner/operator of a fleet of liquefied petroleum gas carriers.
  • Nomura Corporate Research and Asset Management in the sale of its CLO management business to Ares Management.
  • Fortress Investment Group in connection with the acquisition of portfolios of life insurance policies.
  • Jacobson Partners in connection with its acquisition of Swan Products from Tekni-Plex.
  • Parsons & Whittemore in its sale of two of the largest paper pulp mills in the U.S. to Georgia-Pacific.
  • SkyBridge Capital in connection with its acquisition of the hedge fund seeding and advisory business from Citi Alternative Investments LLC (CAI) and in connection with 14 seed investments in emerging hedge fund and private equity managers, totaling over $600 million.
  • JPMorgan Infrastructure Investments Fund in connection with the fund formation and maintenance matters and the acquisition of the Palouse and Route 66 wind projects from First Wind.
  • Hess Energy Trading in connection with a strategic trading relationship with one of the largest companies in Turkey.
  • Arcelor Mittal in connection with the acquisition of AK Steel’s joint venture interest in AK-ISG Steel Coating Company.
  • W.L. Ross & Co. in connection with the formation of International Steel Group and its acquisition of LTV Steel.


Mr. Kulman has been nationally recommended by The Legal 500 United States (M&A: Middle-Market and Insurance: Non-Contentious). He has also been listed in Super Lawyers for his work in securities and corporate finance.


  • Member, New York State Bar Association
  • Member, Association of the Bar of the City of New York
  • Member, Board of Directors, ReadWorks, 2009-present
  • Director, Bloomingdale School of Music, 2014-present


  • Panelist, "Investing in Intellectual Property as an Asset Class," Investing in Intellectual Property Assets and Enforcement, New York, NY, November 2012
  • Moderator, "Managing Critical Business Risks," SALT (Skybridge Alternatives Conference) 2009, Las Vegas, NV, May 2009


  • Co-author, "SEC and CFTC Finalize Reporting Rules for Private Fund Adviser Systemic Risk," Derivatives Financial Product Report, March 2012, Vol. 13, No.7.
  • Co-author, "How Can Offshore Hedge Funds Ensure That Section 10(b) Will Apply to Their Transactions in Securities Not Listed on U.S. Exchanges?" Hedge Fund Law Report, Vol. 5, No. 13.
  • Co-author, "SEC and CFTC Finalize Reporting Rules for Private Fund Adviser Systemic Risk," Stroock Special Bulletin, December 5, 2011
  • Co-author, "U.S. Regulatory Agencies Propose Regulations to Implement Volcker Rule," Stroock Special Bulletin, November 7, 2011
  • Co-author, "Cross-Border Investments and New Reporting Requirements for Private Funds: TIC Form SLT," Stroock Special Bulletin, September 8, 2011
  • Co-author, "FTC Issues Final Rules Regarding HSR Premerger Notification," Stroock Special Bulletin, August 11, 2011
  • Co-author, "CFTC Proposes Removal of Certain Exemptions for Commodity Pool Operators and Heightened Reporting Standards," Stroock Special Bulletin, March 15, 2011
  • Co-author, "CFTC and SEC Propose Reporting Rules for Private Fund Adviser Systemic Risk," Stroock Special Bulletin, February 22, 2011
  • Co-author, "SEC Proposes 'Say on Pay,' 'Say When on Pay,' and 'Say on Golden Parachute' Rules," Stroock Special Bulletin, October 25, 2010
  • Co-author, "Prime Brokerage: The Hidden Dangers," Bloomberg Law Reports: Banking and Finance, October 6, 2008


New York, 1988


J.D., University of Virginia School of Law, 1987

B.A., Brown University, 1984



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