Morgan Lewis

Related Publications

03/12/08 NRS Investment Adviser Compliance Training, New York
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Photo of  Christopher D. Menconi

Honors + Affiliations

Member, American Bar Association, Business Law Section

Lead Articles Editor, The Journal of Contemporary Health Law and Policy

Bar Admissions

  • District of Columbia
  • New York
  • New Jersey
Print Profile

Christopher D. Menconi
Of Counsel


Email: cmenconi@morganlewis.com
Washington, D.C.
1111 Pennsylvania Ave., NW
Washington, D.C. 20004-2541
Phone: 202.739.5896
Fax: 202.739.3001

Christopher D. Menconi is of counsel in Morgan Lewis's Investment Management and Securities Industry Practice. Mr. Menconi focuses his practice on the regulation of investment companies and investment advisers and related issues affecting broker-dealers and transfer agents. He also advises insurance companies on regulatory matters relating to variable insurance products.

Mr. Menconi counsels clients on a wide variety of regulatory and transactional matters, including the development of new products and services, federal and state registration and compliance issues, mergers and acquisitions involving investment companies and investment advisers, interpretive and "no-action" letter requests, SEC exemptive orders, and related matters. He also has served as counsel to boards of directors of mutual funds.

Mr. Menconi frequently speaks at industry conferences and has authored or co-authored several articles covering a wide variety of securities regulatory issues. He also serves as an adjunct professor of law at the Catholic University of America Columbus School of Law, where he teaches an upper-level course on investment management regulation.

Mr. Menconi is admitted to practice in the District of Columbia, New York, and New Jersey.

Education

  • Catholic University of America, Columbus School of Law, 1994, J.D.
  • Catholic University of America, 1990, B.A.