Bio Filter Option

Michael M. Philipp

Partner

michael.philipp@morganlewis.com

Chicago Phone +1.312.324.1905 Fax +1.312.324.1001

110 North Wacker Drive//Chicago, IL 60606-1511//United States

Michael M. Philipp counsels clients in derivatives, securities, and digital asset transactions and regulation. His advice encompasses federal, state, and self-regulatory organization (SRO) regulation, compliance, and enforcement matters. Investment managers, proprietary trading firms, dealers, banks, brokerage firms, exchanges, and commercial end users turn to him for guidance in connection with exchange-traded and over-the-counter derivative instruments and cryptocurrencies. Michael brings more than 30 years of experience counseling market participants and investment managers through business and regulatory cycles and trends impacting markets, including greater globalization and innovation in products and market infrastructures.

Michael has also been involved in a number of first-of-their-kind regulatory developments, including obtaining regulatory permission for the first swaps clearing house—well in advance of the Dodd-Frank swaps clearing mandate—and obtaining US Commodity Futures Trading Commission (CFTC) and US Securities and Exchange Commission (SEC) approval of a portfolio margining program involving SEC and CFTC products. He works with clients on matters related to Commodity Exchange Act, Securities Act, CFTC, SEC, National Futures Association (NFA), and exchange regulatory and enforcement-related issues. These issues include trade practices, swap clearing and reporting, registration of swap execution facilities (SEFs), futures exchanges, clearing organizations, and swap data repositories (SDRs); retail commodity and FX transactions; and futures commission merchant (FCM), introducing broker, swap dealer, commodity pool operator (CPO), and commodity trading advisor (CTA) registration and compliance, as well as regulation and licensing issues relating to digital assets. Michael conducts internal compliance investigations and represents clients in exchange, CFTC, NFA, and state inquiries, examinations, and proceedings, including matters involving allegations relating to disruptive trading practices, such as spoofing and market manipulation.

Michael advises clients on establishing or investing in funds or operating companies focused on commodities such as gold; energy, agricultural, and environmental products; and virtual currencies and other digital assets. He also helps clients maximize their opportunities and limit their legal risks in a frequently shifting regulatory environment, develops legally compliant structures, and provides counsel to anticipate and prepare for potential compliance requirements and legal and regulatory changes.

Awards and Affiliations

Member, Best ETF Law Firm, ETF Express US Awards (2021)

Highly Regarded, IFLR1000 United States (2019)

Highly Regarded, IFLR1000 Financial and Corporate (2019–2021)

Member, ETF Law Firm of the Year, ETF.com (2019)

Member, Best ETF Legal & Compliance Firm, ETFexpress (2019)

Member, Practice Group of the Year, Asset Management, Law360 (2017)

Recommended, Media, technology and telecoms: Fintech, The Legal 500 US (2020, 2021)

Recommended, Finance: Structured finance: derivatives and structured products, The Legal 500 US (2019–2021)

Recommended, Finance: Structured finance, The Legal 500 US (2014–2017)

Lawyer of the Year, Derivatives and Futures Law, The Best Lawyers in America (2017, 2018, 2021)

Recognized, Derivatives and Futures Law, Chicago, The Best Lawyers in America (2007–2012, 2017–2022)

Member, Voice of Experience Board, Senior Lawyers Division of the ABA (2021–2022)

Member, Federal Reserve Bank of Chicago's Working Group on Financial Markets

Board Member, The Ark

Former Member, Chicago Mercantile Exchange and Chicago Board of Trade Business Conduct and Probable Cause Committees

Program Chair, American Bar Association, Futures and Derivatives Law Committee Winter Meeting (2005)

Former Chair, Chicago Bar Association, Futures and Derivatives Law Committee

Former Member, Executive Committee of the Futures Industry Association Law and Compliance Division

Admissions

  • Illinois
  • US District Court for the Northern District of Illinois

Education

  • DePaul University College of Law, 1992, J.D.
  • University of Chicago, 1981, B.A., with honors

Sectors

  • Financial Services
  • Technology
  • Fintech
  • Investment Funds
  • Banking

Services

  • Capital Markets & Public Companies
  • Investment Management
  • Derivatives & Futures
  • Climate Change

Regions

  • North America

Events

5/26/2022 - Track 5: Investment Strategies
5/24/2022 - Track 4: Key Hedge Fund Issues
5/10/2022 -
2022 Advanced Topics in Hedge Fund Practices Conference
11/1/2021 - ICI’s Virtual Securities Law Development Conference
7/27/2021 - Preparing for the SEC’s Security-Based Swaps Regime
5/26/2021 - Track 6: Investment Strategies and Risks
5/12/2021 - Track 3: Regulatory and Enforcement
12/2/2020 - CFTC and NFA Regulation: Critical 2020 Changes
6/2/2020 - Trading and Investment Practices Affecting Hedge Funds; Family Office Issues and Considerations; LIBOR Transition and Derivatives Update
5/5/2020 -
2020 Advanced Topics in Hedge Fund Practices Conference
3/31/2020 - Morgan Lewis Hedge Fund University™: CFTC’s Latest Position Limits Proposal
2/23/2020 - SFVegas 2020
6/11/2019 - 2019 Morgan Lewis Advanced Topics in Hedge Fund Practices Conference: Manager and Investor Perspectives
6/14/2018 - 2018 Morgan Lewis Advanced Topics in Hedge Fund Practices Conference: Manager and Investor Perspectives – Boston
6/12/2018 - 2018 Morgan Lewis Advanced Topics in Hedge Fund Practices Conference: Manager and Investor Perspectives
5/22/2018 - 2018 Technology May-rathon: Disruptive Technologies In Investment Management Session 2: The Regulatory Landscape for Asset Managers
5/8/2018 - 2018 Morgan Lewis Advanced Topics in Hedge Fund Practices Conference: Manager and Investor Perspectives – Chicago
12/14/2017 - Asset Managers: A New Era of Regulation?
6/13/2017 - 2017 Morgan Lewis Advanced Topics in Hedge Fund Practices Conference: Manager and Investor Perspectives
6/9/2016 - Ninth Annual Advanced Topics in Hedge Fund Practices: Manager and Investor Perspectives
3/2/2016 - 2016 SEC Examination and Enforcement Trends Roundtable Road Show – Chicago
10/20/2014 - CFTC/Chicago Fed Joint Plenary Sessions on Current Global Issues and Financial Regulatory Reform
3/11/2014 - CFTC International Regulators Meeting
3/6/2013 - Morgan Lewis Hedge Fund University™: Commodity Pool Regulatory Update
10/16/2012 - Customer Protection Initiatives: The Good, the Bad and the Unintended Consequences
9/13/2012 - Dodd-Frank Act: Are You Ready?
4/3/2012 - Recent Developments for Investment Advisers and Broker-Dealers/FCMs Roundtable
3/19/2012 - Morgan Lewis ICI Conference Breakfast Briefing
2/17/2012 - 2012 Derivatives Roundtable: Exploring the Use of Derivatives by Mutual Funds, Closed-End Funds, and ETFs

News

3/15/2022 - Crypto’s European Win is Just the Beginning of a Global Regulatory Fight, Protocol
3/11/2022 - The One-Word Mystery in Biden’s Crypto Order, Protocol
1/1/2019 - Swaps-Trading Rules Top Agenda for CFTC in 2019, Law360
12/19/2018 - Digital Assets and ICOs to Get More Clarity, Face More Rules in 2019, Think Advisor
11/18/2015 - What Does the New Era of Trading Enforcement Mean For You?
2/13/2012 - Morgan Lewis Picks Up Dodd-Frank Pro, ERISA Partners, Law360
2/6/2012 - Morgan Lewis Expands Existing Derivatives and Commodity Futures Platform with Addition of Leading Chicago-based Partner

Publications

11/5/2021 - President’s Working Group Report: Stablecoin Issuers Should Be Banks; Status as Securities or Commodities Still Unclear
7/13/2021 - UK Commodity Derivatives Regime: FCA Not Enforcing Position Limits as HM Treasury Consults on Changes
6/17/2021 - Basel Committee Proposes Risk-Based Regulatory Capital Treatment for Many Cryptoassets
4/28/2021 - OCC Conditionally Approves Trust Company Charter for Crypto Firm
3/9/2021 - National Futures Association Proposes New Reporting Requirements for Commodity Pool Operators
1/19/2021 - FinCEN Proposes Crypto Reporting and Recordkeeping Requirements
1/19/2021 - Want to Hedge Your Bets? CFTC Requests Public Comment on RSBIX NFL Event Contracts
11/11/2020 - CFTC Amends Real-Time Swap Public Reporting Requirements
11/4/2020 - New SEC Rule Will Regulate Registered Fund Investments in Derivatives
10/26/2020 - CFTC Adopts Exemptive Relief for Non-US CPOs of Offshore Commodity Pools and Other Foreign Intermediaries
10/12/2020 - CFTC Streamlines Form CPO-PQR
10/9/2020 - CFTC Subcommittee Issues ‘First of Its Kind’ Climate Risk Report
10/1/2020 - ‘Let’s Be Civil’: White House Due Process Memo May Improve Enforcement in Financial Regulatory Matters
7/8/2020 - Final CFTC Rules Prohibit Post–Trade Name Give-Up for Swaps
7/6/2020 - Farewell Reg AT, Hello Electronic Trading Principles
6/16/2020 - CFTC Adopts Statutory Disqualification Requirement for Exempt CPOs
6/12/2020 - Effective Compliance Oversight of Energy Commodity Trading in a Remote Trading Environment
6/8/2020 - CFTC Proposes Relief for Non-US Commodity Pool Operators
6/5/2020 - CFTC Delays Phase 5 Initial Margin Implementation Date
5/20/2020 - Change in the US Regulatory Status of the KRX300 Futures Contract
5/12/2020 - CFTC Issues Additional Relief in Response to COVID-19
4/9/2020 - Global Standard Setters Extend Deadlines for Uncleared Margin Requirements
4/7/2020 - CFTC and NFA Issue Additional COVID-19 Regulatory Relief
3/19/2020 - CFTC No-Action Relief for Registrant and Market Participant COVID-19 Response
2/24/2020 - Latest CFTC Position Limits Proposal: If at First You Don't Succeed, Try, Try Again
February 2020 - The Commodity Futures Trading Commission's Swaps Cross-Border Guidance Proposal
1/27/2020 - The End of LIBOR: Considerations for Investment Managers
11/4/2019 - DSIO Director Explains Thematic Commodity Pool Operator, Swap Dealer Review Program
4/9/2019 - CFTC Issues Relief for UK Firms Regarding Brexit Possibilities
3/11/2019 - CFTC Announces Self-Reporting Guidance on Foreign Corrupt Practices
2/21/2019 - SEC Proposes Risk Mitigation Rules for Uncleared Security-Based Swaps
12/14/2018 - NFA Issues Internal Controls Guidance for Commodity Pool Operators
12/7/2018 - NFA Members: Will You Need to Update Your Cybersecurity Policy?
10/12/2018 - Court: Cryptocurrencies Are Commodities Even Without Futures
10/11/2018 - A Light Lift: CFTC Proposes to Codify Existing No-Action Relief and Other Relief Applicable to CPOs and CTAs
7/17/2018 - CFTC, SEC Sign New Memorandum of Understanding on Information Sharing
3/7/2018 - Recordkeeping: Recent Rule Amendments and Other Developments
3/7/2018 - The Review of Securities & Commodities Regulation, RSCR Publications
1/25/2018 - SEC’s New Message to the Cryptocurrency Market: Take the Lead, but Proceed with Caution
12/19/2017 - National Futures Association Issues New Virtual Currency Notification and Reporting Requirements
7/28/2017 - SEC Speaks Traditionally on FinTech Capital Raising
6/13/2017 - Tenth Annual Advanced Topics in Hedge Fund Practices, Part 13: Derivatives Update
2/6/2017 - President Trump’s Financial Reform Executive Order Provides Few Specifics
January 2017 - Trading and Markets Enforcement Report
1/1/2017 - Funds’ Derivatives Rule Still Looms – Uncertainty Prevails, Futures & Derivatives Law
9/15/2016 - NFA Proposal Would Require CFTC-Registered Asset Managers to Report on Financial Condition
8/3/2016 - CFTC Proposes Permanent Registration Relief to Certain Non-US Asset Managers
7/15/2016 - North Carolina Captures Bitcoin Custodians in New Money Transmitter Law
7/14/2016 - Elizabeth Warren’s Latest Proposal Is Unfailingly Tough on Banks
6/9/2016 - Ninth Annual Advanced Topics in Hedge Fund Practices, Part 9: Dodd-Frank Developments and Derivatives
5/23/2016 - Surprise! No More Retail Forex for Broker-Dealers
2015-2016 - Hedge Fund Deskbook
2/22/2016 - CFTC Staff Clarifies Registration Relief Available to Non-US Asset Managers
1/12/2016 - Deadline Approaches for Annual CPO/CTA Exemption Filings
12/14/2015 - SEC Proposes Requirements for Funds’ Use of Derivatives and Other Financial Transactions
11/9/2015 - Prosecutors Record First-Ever Conviction for ‘Spoofing’: A New Era of Trading Enforcement
9/8/2015 - National Futures Association Proposes Cybersecurity Guidance for NFA Member Firms
9/3/2015 - CFTC/SEC Jurisdictional Battle Heats Up Over Dividend Indices, Westlaw Journal: Securities Litigation & Regulation, Volume 21 Issue 9
8/19/2015 - CFTC/SEC Jurisdictional Battle Heats Up Over Dividend Indices
7/27/2015 - CFTC Staff Exempts Certain Commodity Trading Advisors from Form CTA-PR Reporting
6/9/2015 - NYDFS Releases Final Rules for Licensing Virtual Currency Businesses in New York
12/5/2014 - CFTC Releases No-Action Letter 14-144
11/7/2014 - CFTC Proposes Amendments to Recordkeeping Rules
6/12/2014 - First Swap Dealer Exams Expected To Probe Compliance Chiefs, Law360
6/10/2014 - Challenges in Requiring High-Frequency Traders to Register as Dealers
6/7/2014 - Citadel Builds Swaps Unit to Repeat Market-Making Triumph, Bloomberg (read the article)
5/7/2014 - Panelist, Compliance Rapid Fire Panel, presented at the 36th Annual Futures Industry Association Law and Compliance Division Conference on the Regulation of Futures, Derivatives and OTC Products, Baltimore, MD
5/1/2014 - Seventh Annual Advanced Topics in Hedge Fund Practices, Part 5: Dodd Frank Developments: Documentation and Clearing
3/20/2014 - SEC Proposes Enhanced Regulatory Framework for Certain Registered Clearing Agencies
7/18/2013 - SEC Provides Relief for Familiarization Activities of Foreign Options Markets
July 2013 - Portfolio Margining of Cleared Credit Default Swaps, Journal of Investment Compliance
5/14/2013 - Virtual Asset Management Roundtable Series: Advertising and Social Media
5/2/2013 - Sixth Annual Advanced Topics in Hedge Fund Practices, Part 5: Swaps Regulation is Here
4/25/2013 - Federal Reserve Adopts Retail Forex Rules
3/6/2013 - Morgan Lewis Hedge Fund University™ Commodity Pool Regulatory Update
2/11/2013 - CFTC Provides Family Offices with Certainty and Fund of Fund’s with a Temporary Reprieve, BNA's Securities Regulation & Law Report
1/3/2013 - CFTC Adopts Tape-Recording and Recordkeeping Rules
12/28/2012 - SEC Permits Portfolio Margining of Credit Default Swaps
12/5/2012 - CFTC Staff No-Action Relief for Family Offices and Fund of Funds Operators
10/15/2012 - Temporary Relief from Registration for Swaps Intermediaries
10/5/2012 - Fifth Annual Advanced Topics in Hedge Fund Practices, Part 4: Dodd-Frank Regulatory Changes As They Unfold
9/14/2012 - Dodd-Frank Act: Are You Ready?
9/13/2012 - Dodd-Frank Act: Are You Ready?
8/28/2012 - NFA Proposes New Swap Entity Identification Requirement and Waives Series 3 Exam for APs Engaged Only in Swap Activity
6/11/2012 - Pushing For Stricter FCM Controls Post MF Global, Law360
6/1/2012 - NFA Proposes FCM Financial Requirements in the Wake of MF Global
May 2012 - What the CFTC Rule Revisions Mean for Registered Investment Companies and Their Investment Advisers
4/3/2012 - Co-presenter, Recent Developments for Investment Advisers and Broker-Dealers/FCMs Roundtable
3/29/2012 - Morgan Lewis ICI Conference Breakfast Briefing
2/9/2011 - CFTC Proposed Rules on Position Limits, presented at the Managed Funds Association's OTC Derivatives Forum, New York
10/19/2010 - Panelist, Clearing and Trading of Swaps panel, presented at the 2010 PLI Advanced Swaps and Derivatives Program, New York