Morgan Lewis

Related Publications

04/25/13 Federal Reserve Adopts Retail Forex Rules
Standards for banking organizations regulated by the Federal Reserve for Retail Forex are generally comparable to rules adopted by other regulators.
01/03/13 CFTC Adopts Tape-Recording and Recordkeeping Rules
Final rules require tape recording by futures commission merchants, introducing brokers, retail foreign exchange dealers, and commodity trading advisors; affected CFTC registrants must implement systems to comply by December 21, 2013.
12/28/12 SEC Permits Portfolio Margining of Credit Default Swaps
Order grants exemptive relief from Exchange Act requirements; parallel CFTC relief expected soon.
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Related News

09/01/11 Record Penalty Makes Case For Forex Compliance Reviews, Compliance Reporter
Georgia Bullitt and Michael Piracci are quoted.
08/31/11 Mutual Funds Face Curbs on Using Derivatives to Boost Returns, Bloomberg Government (read the article)
Georgia Bullitt is quoted.
View all news
Photo of  P. Georgia Bullitt

practice accolades

Investment Management

Ranked, Band 1: Investment Fund Formation and Management: Mutual Funds in The U.S. Legal 500 (2012)

Ranked, National Tier 1: Securities/Capital Markets Law, U.S. News and Best Lawyers (2012)

Ranked, Band 2: Financial Services Regulation: Broker-Dealer Regulation in Chambers USA (2012)

Ranked, Band 2: Investment Funds: Registered Funds in Chambers USA (2012)

honors + affiliations

Member, New York State Bar Association

Member, SIA's Investment Advisory Committee

Listed, Finance: Structured Finance in The U.S. Legal 500 (2011–2012)

bar admissions

  • New York
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P. Georgia Bullitt
Partner


Email: gbullitt@morganlewis.com
New York
101 Park Avenue
New York, NY 10178-0060
Phone: 212.309.6683
Fax: 212.309.6001

P. Georgia Bullitt is a partner in Morgan Lewis's Investment Management and Securities Industry Practice. Ms. Bullitt focuses on securities, equity sales and trading, and private wealth management. Her experience includes equity brokerage, equity derivatives, representation of exchange traded funds (ETFs), corporate finance, SEC reporting, and private banking.

Ms. Bullitt represents both registered and unregistered investment advisers in connection with a broad range of regulatory issues, including compliance issues under the Investment Advisers Act of 1940, fiduciary issues, and trading and market practices. Her clients include traditional money managers, pension plan advisers, and mutual fund advisers, as well alternative managers.

Prior to joining Morgan Lewis, Ms. Bullitt was an executive director and counsel at Morgan Stanley. While there, she advised the Institutional Equity Division, the Private Wealth Management Division, and the Retail Division, and developed training and policies and procedures addressing a number of different areas of the federal securities laws.

Ms. Bullitt received her J.D., cum laude, from the University of Michigan Law School in 1987, where she was a member of the University of Michigan International Law Journal. She received her B.A. in East Asian studies from Yale University in 1982.

Ms. Bullitt is a member of the New York State Bar Association and a member of SIFMA's Investment Advisory Committee.

Ms. Bullitt is admitted to practice in New York.

education

  • University of Michigan Law School, 1987, J.D., Cum Laude
  • Yale University, 1982, B.A.