FacultyFaculty/Author Profile
Christopher D. Christian

Christopher D. Christian

Dechert LLP

Boston, MA, USA


Christopher D. Christian

Christopher D. Christian is a partner in Dechert's Financial Services Practice Group. He advises U.S. and European asset managers and investment funds and their boards of directors, including U.S. registered funds, funds organized under the European Union directive on Undertakings for Collective Investment in Transferable Securities (UCITS), and funds organized in other jurisdictions offered on a private basis.

Mr. Christian's practice has a significant international component. He advises offshore funds on compliance with U.S. regulatory requirements and routinely counsels European retail and institutional funds on organization, registration, corporate governance, and global distribution issues. He has assisted clients in coordinating offering advisory services and various types of investment funds in compliance with local law in jurisdictions in Europe, Asia, the Middle East, and Latin and South America.

Mr. Christian is Vice Chair of the International Bar Association's Investment Funds Committee. He has spent considerable time working in our London office and is a frequent conference speaker.

Mr. Christian graduated from Brandeis University (B.A., 1995), The Catholic University of America Columbus School of Law (J.D., cum laude, 1998) and Georgetown University Law Center (LL.M. in Securities and Financial Regulation, 1999). He is a member of the District of Columbia and Massachusetts Bars.

Christopher D. Christian is associated with the following items:
Treatise Chapters  Treatise Chapters Offering Cross-Border Investment Products and Advisory Services to Clients in Latin America - Broker-Dealer Regulation (2nd Edition), Friday, September 22, 2017
Offering Cross-Border Advisory and Broker-Dealer Services to Non-U.S. Clients - Broker-Dealer Regulation (2nd Edition), Friday, September 22, 2017
Offering Cross-Border Investment Products and Advisory Services to Clients in Latin America - Investment Adviser Regulation: A Step-by-Step Guide to Compliance and the Law, Tuesday, October 24, 2017
Offering Cross-Border Advisory and Broker-Dealer Services to Non-U.S. Clients - Investment Adviser Regulation: A Step-by-Step Guide to Compliance and the Law, Tuesday, October 24, 2017
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