practice areas
practice accolades
Ranked, Band 1: Financial Services Regulation: Broker-Dealer Regulation in Chambers USA (2011)
Ranked, Band 1: Investment Funds: Registered Funds in Chambers USA (2011)
Ranked, Band 1: Investment Fund Formation and Management: Mutual Funds in The U.S. Legal 500 (2011)
Ranked, National Tier 1: Securities/Capital Markets Law, U.S. News and Best Lawyers (2010)
Ranked, National Tier 1: Private Funds/Hedge Funds Law, U.S. News and Best Lawyers (2010)
honors + affiliations
Co-Planning Chair, Annual ALI-ABA Course on Investment Company Regulation and Compliance
Named, Best Lawyers' Washington, D.C. Mutual Funds Law Lawyer of the Year (2012)
Listed, Chambers USA: America's Leading Lawyers for Business (2004–2011)
Listed, The Best Lawyers in America (2008–2011)
Listed as Recommended, Investment Funds, PLC Which Lawyer? Yearbook 2008
Listed, Investment Fund Formation and Management: Mutual Funds in The US Legal 500 (2009–2011)
Listed, "Guide to the World's Leading Investment Funds Lawyers," International Financial Law Review/Expert Guides (2008)
Listed, Washington, D.C. Super Lawyers (2008)
bar admissions
- District of Columbia
- Washington, D.C.
-
1111 Pennsylvania Ave., NW
Washington, DC 20004-2541
Phone: 202.739.5662
Fax: 202.739.3001
Thomas S. Harman is a partner in Morgan Lewis's Investment Management and Securities Industry Practice. For the past eight years, Mr. Harman was named one of the leading U.S. lawyers for investment management by Chambers USA, based on the views of clients, peers, and other industry professionals. Chambers noted that Mr. Harman is “a strong player” and further commented that he is respected for his “innovative and thoughtful work, coupled with encyclopedic knowledge.”
Mr. Harman's practice focuses on investment management matters involving investment advisers, mutual funds, closed-end funds, private investment companies and exchange-traded funds. He also serves as counsel to the board of directors of several fund families. He has conducted internal reviews on behalf of fund advisers and on behalf on independent boards.
Before going into private practice in 1994, Mr. Harman served as chief counsel and subsequently associate director (chief counsel) of the Securities and Exchange Commission’s Division of Investment Management from 1988 to 1994. From 1987-1988, he directed the Division’s Office of Disclosure and Adviser Regulation. Mr. Harman joined the SEC in 1982 as a staff attorney in the Division of Investment Management. At the SEC, Mr. Harman was particularly active in issues involving mutual funds and pension plans, common trust funds, mutual fund advertising, and legislation affecting mutual funds and investment advisers.
Mr. Harman was an adjunct professor in the securities law program at the Georgetown University Law Center from 1991 until 2002. Mr. Harman is a frequent speaker on investment management issues and has authored or co-authored numerous articles on industry issues. Mr. Harman serves as co-planning chair of the Annual ALI-ABA Course on Investment Company Regulation and Compliance.
Mr. Harman is admitted to practice in the District of Columbia.
education
- Georgetown University Law Center, 1988, LL.M.
- University of Virginia School of Law, 1982, J.D.
- Duke University, 1979, B.A.
