Chrishon McManus advises investment advisers, broker-dealers, and other financial institutions on products, services, and issues arising under Financial Industry Regulatory Authority (FINRA) and the Securities and Exchange Commission (SEC) regulations. Chrishon also counsels clients on the formation of investment companies, including private funds and exchange-traded funds. Prior to joining Morgan Lewis, he served as associate counsel at one of the largest independent broker-dealers in the United States. While in law school, Chrishon was a law clerk at the SEC in the Division of Investment Management.
Washington and Lee University School of Law, 2014, J.D.
The George Washington University, 2011, B.A.
District of Columbia
Awards and Affiliations
Member, ABA Business Law Section Committee on Federal Regulation of Securities
Member, Bar Association of the District of Columbia