
Burke McDavid
Professional Bio
bmcdavid@winstead.com
214.745.5490
Burke McDavid is a seasoned attorney with a comprehensive understanding of investment management, compliance and corporate law. Continuing his distinguished career spanning more than two decades, he brings a wealth of experience in both private practice as well as overseeing legal and compliance matters as General Counsel and Chief Compliance Officer for a registered investment adviser...Read More
USDA’s Proposed AFIDA Overhaul: What Institutional Timberland Owners and Natural Capital Investors Need to Know
Winstead - Investment Management ·
CFTC Letter 25-50: Revival of the QEP Exemption from CPO Registration Offers Reduction in Compliance Burden
Winstead - Investment Management ·
SEC’s Division of Corporate Finance: 506(c) Interpretative Guidance
Winstead - Investment Management ·
FinCEN’s New AML/CFT Rules for Investment Advisers—Postponed
Winstead - Investment Management ·
SEC Division of Examinations Announces 2025 Priorities
Winstead - Investment Management ·