Peter McCamman is counsel in the Washington DC office of Mayer Brown’s Corporate & Securities practice. He focuses his practice primarily on representing investment companies (including mutual funds, closed-end funds and funds of funds), investment advisers and other financial institutions.
Peter has advised clients on a wide range of investment management matters, including formation, registration, ongoing operation, compliance and reorganization of investment companies and investment advisers, and provides ongoing assistance on investment management regulatory and business matters. In addition, Peter advises investment advisers and investment companies on other related matters, including the preparation of compliance policies and procedures, comment letters, exemptive applications, "no-action" letter requests, registration statements and forms, proxy statements, corporate documents, and other regulatory and business filings and documents.
Peter’s practice also includes assisting clients with respect to SEC examinations and inquiries, “mock” examinations, targeted compliance and business practice reviews, internal investigations and due diligence reviews.
He joined Mayer Brown in 2005. Prior to law school, Peter was a Research Analyst in Salomon Smith Barney’s Equity Index Group.