Skip to main contentSkip to navigation
BCLP logo
  • People People

  • SectorsAerospace & DefenseEnergy TransitionFinancial InstitutionsFood & AgribusinessHealthcare & Life SciencesReal EstateRetail & Consumer Products Sports, Media & Entertainment

    View all sectors View all sectors

    Practice areasFinanceInvestigationsLitigationReal EstateRegulation, Compliance & AdvisoryTax & Private ClientTransactions

    View all practice areas View all practice areas

  • News News

    AwardsDiversityPro Bono

    View all News View all News

    Insights Insights

    BlogsPodcastsWebinars

    View all Insights View all Insights

  • Perspectives Perspectives

    Emerging Themes 2026M&A deals that deliverThe Sustainability Imperative Confronting CorruptionClass Actions
    Trending TopicsArtificial IntelligenceThe Corporate Transparency Act
  • Events Events

    Webinars
  • About us About us

    Pro bono & CommunityInclusion & DiversityResponsible Business

    Client stories Client stories

    Media inquiries Media inquiries

  • Careers
  • Locations
  • Subscribe
BCLP logo
People
Capabilities
News & Insights
BCLP logo

Robert M. Crea

Robert Crea
  1. People

Robert M. Crea

Robert M. Crea

Partner


San Francisco
Robert Crea
  1. People

Robert M. Crea

Robert M. Crea

Partner


San Francisco

Robert M. Crea

Partner

San Francisco

U.S. Head of Fund Formation

T: +1 415 675 3413

VcardVcard
Download PDFDownload PDF
Print
Share
  • Biography

Biography

Rob Crea is the U.S. Head of Fund Formation and a partner in the firm’s Corporate & Finance Transactions Department. Rob is a well-known practitioner in the private funds arena with deep experience in a broad variety of investment products, including real estate, venture capital, private equity and hedge funds.  He regularly counsels investment advisers, private fund managers, broker-dealers, pension plans and other institutional investors on fund formation, product structuring, regulatory and compliance, performance presentation and securities law matters.  Rob is experienced on a variety of state and federal regulatory and compliance issues affecting private fund sponsors, including with respect to the Investment Advisers Act of 1940, as amended, and the Investment Company Act of 1940, as amended.

In addition to his private funds work, Rob often guides venture investors and pre-IPO companies on general corporate matters, financings and mergers and acquisitions. Since 2016, he has counseled clients and been a frequent author and public speaker on securities law matters affecting digital asset offerings and the digital assets industry.

Rob clerked for the Hon. John T. Noonan, Jr. of the U.S. Court of Appeals for the Ninth Circuit. He is a CFA charterholder and CAIA charterholder and a member of each of the CFA Institute, CAIA and California Alternative Investments Association.

Professional Affiliations

  • Member, CFA Institute 
  • Member, CAIA Association
  • Member, California Alternative Investments Association

Admissions

  • California, 2009
  • Georgia, 2005

Education

  • University of Notre Dame, J.D., cum laude, 2005
  • Columbia University, B.A., 1998

Related Capabilities

M&A & Corporate Finance M&A & Corporate Finance

Corporate Corporate

Private Equity Private Equity

Start-Up & Venture Capital Practice Start-Up & Venture Capital Practice

Cryptocurrency & Digital Assets Cryptocurrency & Digital Assets

Private Investment Funds Private Investment Funds

Financial Institutions Financial Institutions

  • M&A & Corporate Finance

  • Corporate

  • Private Equity

  • Start-Up & Venture Capital Practice

  • Cryptocurrency & Digital Assets

  • Private Investment Funds

  • Financial Institutions

Related Insights

View All Related InsightsIcon: arrow

News
May 12, 2026

BCLP advises EEP on investment in Venezia Football Club

Insights
Apr 20, 2026

SEC and CFTC Propose Significant Rollback of Form PF Reporting Requirements

On April 20, 2026, the Securities and Exchange Commission (SEC) and Commodity Futures Trading Commission (CFTC) jointly proposed amendments to Form PF, the confidential reporting form filed by certain SEC-registered investment advisers to private funds. The proposal is intended to eliminate filing requirements for smaller advisers, reduce certain reporting obligations for smaller hedge fund advisers, streamline and simplify other reporting requirements, and make corrections and other revisions.
Insights
Mar 24, 2026

VC Diversity Reporting in California Put on Hold

News
Mar 02, 2026

BCLP Advises Envision Radiology on Acquisition of Rezolut Holdings and associated Credit Financing

Insights
Mar 02, 2026

The SEC Revises its Enforcement Manual For the First Time Since 2017

Insights
Feb 10, 2026

California's VC Diversity Report Card Comes Due

Insights
Jan 14, 2026

Back by Popular Demand: CFTC Staff Issues No-Action Letter Reviving QEP Exemption for Certain Private Fund Advisers

Insights
Dec 03, 2025

From “Gotcha” to Guidance: SEC’s 2026 Examination Priorities Emphasize Cooperation

Insights
09/30/2025

SEC Opens the Vault: New Crypto Custody Relief for State Trust Companies

Related Insights

News
May 12, 2026
BCLP advises EEP on investment in Venezia Football Club
Insights
Apr 20, 2026
SEC and CFTC Propose Significant Rollback of Form PF Reporting Requirements
On April 20, 2026, the Securities and Exchange Commission (SEC) and Commodity Futures Trading Commission (CFTC) jointly proposed amendments to Form PF, the confidential reporting form filed by certain SEC-registered investment advisers to private funds. The proposal is intended to eliminate filing requirements for smaller advisers, reduce certain reporting obligations for smaller hedge fund advisers, streamline and simplify other reporting requirements, and make corrections and other revisions.
Insights
Mar 24, 2026
VC Diversity Reporting in California Put on Hold
News
Mar 02, 2026
BCLP Advises Envision Radiology on Acquisition of Rezolut Holdings and associated Credit Financing
Insights
Mar 02, 2026
The SEC Revises its Enforcement Manual For the First Time Since 2017
Insights
Feb 10, 2026
California's VC Diversity Report Card Comes Due
Insights
Jan 14, 2026
Back by Popular Demand: CFTC Staff Issues No-Action Letter Reviving QEP Exemption for Certain Private Fund Advisers
Insights
Dec 03, 2025
From “Gotcha” to Guidance: SEC’s 2026 Examination Priorities Emphasize Cooperation
Insights
09/30/2025
SEC Opens the Vault: New Crypto Custody Relief for State Trust Companies

Back to top

BCLP logo
  • People
  • Capabilities
  • Practice Areas
  • Sectors
  • News & Insights
  • Awards
  • Blogs
  • News & Events
  • Insights
  • Webinars
  • Perspectives
  • M&A deals that deliver
  • Emerging Themes
  • The Sustainability Imperative
  • About us
  • Careers
  • Locations
  • Subscribe
  • Legal notices
  • Privacy notice
  • Modern Slavery Act
  • Cookie policy
  • UK Transparency Rules
  • Tax Information
  • Media inquiries
Icon: linkedin

© 2026 Bryan Cave Leighton Paisner LLP