Peter McCamman represents investment advisers and investment companies (including mutual funds, closed-end funds, and funds of funds) as well as private funds and their sponsors.

Peter advises clients on a range of investment management and related regulatory matters, including formation, registration, ongoing operation, compliance, and reorganization of investment advisers and investment companies.  He advises clients on:

  • Investment management regulatory and business matters.
  • Preparation and review of compliance policies and procedures.
  • SEC examinations and inquiries, comments letters and correspondence.
  • “Mock” examinations, targeted compliance and business practice reviews.
  • Internal investigations.
  • Registration statements and forms.
  • Corporate documents and other regulatory and business filings and documents.

Peter was previously a Research Analyst in Salomon Smith Barney’s Equity Index Group.

Current and past clients served by Peter include SEC registered advisers, a mutual fund complex with approximately $25 billion in net assets, a closed-end fund complex with approximately $5 billion in total assets, and various management firms and sponsors to private equity and real estate private funds.


  • Anglais


The Catholic University of America, Columbus School of Law, JD, cum laude
Production Editor, CommLaw Conspectus: Journal of Communications Law and Policy

Cornell University, BA, Government, International Relations Concentration
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  • District of Columbia
  • Virginia