FacultyFaculty/Author Profile

Paul G. Cellupica

TIAA-CREF Financial Services
Managing Director and General Counsel
New York, NY, USA

Paul G. Cellupica is currently Managing Director and General Counsel for Securities Law at TIAA-CREF, where he is responsible for all securities regulatory issues impacting the company’s products and distribution.  From 2004 through 2014 he worked in the Law Department of MetLife, Inc. in various senior roles, including as Chief Counsel for the Americas, where had responsibility for legal support of MetLife’s insurance and financial services businesses in the U.S. and Latin America.

Between 1996 and 2004, Mr. Cellupica served at the U.S. Securities and Exchange Commission in a number of capacities in the Division of Investment Management and the Division of Enforcement.  From 2001 to 2004, he was Assistant Director in the Division of Investment Management, where he and his staff were responsible for rulemaking initiatives related to disclosure provided by mutual funds and variable insurance products.  Before joining the SEC, Mr. Cellupica practiced at the law firm of Caplin & Drysdale in Washington, D.C.

Mr. Cellupica is a frequent speaker on securities law and compliance issues and has been active in a number of professional organizations, including the Committee on Investment Management Regulation of the Association of the Bar of the City of New York, the SEC Rules Committee of the Investment Company Institute, and the Advisory Board of the Rutgers Law School Center for Corporate Law and Governance.

Mr. Cellupica has a B.A. magna cum laude from Harvard College and a J.D. cum laude from Harvard Law School, and was a law clerk for Judge David Nelson of the U.S. Court of Appeals for the Sixth Circuit.  He is admitted to practice in New York and the District of Columbia.

Paul G. Cellupica is associated with the following items:
Treatise Chapters  Treatise Chapters Asset Allocation Programs and Funds of Funds in Variable Insurance Products - Variable Annuities and Variable Life Insurance Regulation (Second Edition), Wednesday, June 20, 2018

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