Cameron M. Clark is a member of the firm’s investment management practice, focusing primarily on the formation and operation of domestic and offshore private investment funds, including hedge funds and private equity funds.

Practice & Background

Prior to joining the firm, Mr. Clark worked in the Washington, D.C. office of another top law firm, where his practice focused on investment adviser and fund compliance. Previously, he worked as a law clerk at the Federal Reserve Bank of New York.

Mr. Clark received his LL.M. with distinction in securities and financial regulation in 2015, and his J.D. in 2014, from Georgetown University Law Center. He received his B.A. magna cum laude in 2011 from the University of San Francisco. In law school, Mr. Clark interned in the Division of Investment Management of the Securities and Exchange Commission.