Robert B. Stebbins is a partner in the Corporate & Financial Services Department and Co-Chair of the Firm’s Corporate Governance practice. Bob has a diverse practice, focusing on SEC compliance and enforcement issues, corporate governance matters, internal and governmental investigations, and advising boards of directors. He also has a great deal of experience as a transactional attorney, focusing on mergers and acquisitions, private equity and venture capital matters, investment funds, and capital markets transactions.
Bob practiced law at Willkie from 1993 to 2017, first as an associate and beginning in 2001 as a partner. From May 2017 to January 2021, Bob served as General Counsel for the Securities and Exchange Commission in Washington, DC. As the SEC’s chief legal officer and head of its Office of the General Counsel (OGC), Bob led a 150-person team responsible for litigation, advising on rulemaking matters and enforcement actions, and preparing Commission opinions in adjudications. He led OGC during one of the most active and wide-ranging rule calendars in the agency's history, advising on more than 85 rules, and hundreds of SEC and staff orders and interpretive releases. During his tenure, OGC also provided day-to-day guidance to the SEC’s Enforcement Division on over 2,750 enforcement actions. OGC also provided legal advice to the SEC’s Commissioners and the agency’s five divisions and 24 offices, including coordinating and ensuring the consistency of the legal positions taken by the SEC’s divisions and offices.
In his capacity as General Counsel, Bob structured and supervised internal investigations, coordinated interagency matters with other federal agencies, provided briefings to Congressional committees and was actively involved in the restarting of the SEC’s Fellowship Program with a focus on hiring minority attorneys. In the 2020 Federal Employee Viewpoint Survey, OGC ranked as the seventh best place to work out of 411 federal government offices (2019, 14th out of 420; 2018, 5th out of 415).
During the spring of 2020, he was detailed to the Department of the Treasury to advise on the CARES Act implementation (while at the same time continuing to function as the SEC’s General Counsel), for which service he received the Secretary of Treasury’s Honor Award.
Bob is a member of the American Bar Association and its M&A Committee, a member of the New York City Bar Association and its Securities Regulation Committee, and serves on the Board of Advisors of the Institute for Corporate Governance & Finance at New York University School of Law. He is a frequent speaker at law schools, conferences and continuing education seminars.
Alison Staloch is the Chief Accountant of the Division of Investment Management at the U.S. Securities and Exchange Commission. In this role, Alison works closely with Commission staff to develop recommendations for policies to ensure the full and fair disclosure of financial information by investments companies, interpretations of rules relating to the form and content of financial statements, and the establishment of uniform standards of auditing and accounting practices with respect to investment companies. Alison also manages the accounting examination program within the Division of Investment Management which reviews and provides comments on thousands of registered investment company’s annual financial statements and regulatory filings each year. She frequently discusses investment company accounting rules and industry practice issues at regional and national conferences.
Alison joined the SEC in 2015 from KPMG LLP where she was as a Senior Manager in the audit practice specializing in the investment management industry, including investment companies registered under the Investment Company Act of 1940, private funds, commodity pools, family office trusts, and investment companies regulated by the Small Business Administration.
Alison has a Masters in Accounting from the Ohio State University Fisher College of Business. Alison is a Certified Public Accountant licensed in Ohio.
Annette Nazareth is a Senior Counsel with Davis Polk & Wardwell. She previously headed the firm’s Trading and Markets practice in the Financial Institutions Group. Ms. Nazareth is an experienced financial markets regulator, former SEC Commissioner, and recognized authority on financial markets regulatory issues.
Ms. Nazareth has been a key player in financial services regulatory reform for much of her career. She was a highly regarded financial services policymaker for more than a decade. She joined the SEC Staff in 1998 as a Senior Counsel to Chairman Arthur Levitt and then served as Interim Director of the Division of Investment Management. She served as Director of the Division of Trading and Markets from 1999 to 2005. As Director, she oversaw the regulation of broker-dealers, securities exchanges and clearing agencies. She also served as the senior staff member assisting the SEC Chairman on the President’s Working Group on Financial Markets. In 2005, she was appointed an SEC Commissioner by President George W. Bush. During her tenure at the Commission, she worked on numerous groundbreaking initiatives, including execution quality disclosure rules, implementation of equities decimal pricing, short sale reforms, corporate debt transparency rules and modernization of the national market system. Ms. Nazareth also served as the Commission’s representative in international meetings as a member of the Financial Stability Forum from 1999 to 2008. Earlier in her career Ms. Nazareth held a number of senior positions at investment banks.
Ms. Nazareth is a frequent speaker and commentator and has authored numerous pieces on financial regulatory issues. She was the Contributing Editor of Getting the Deal Through: Financial Services Compliance 2019, published by Law Business Research Ltd and co-authored a chapter in Digital and Digitized Assets: Federal and State Jurisdictional Issues, published by the American Bar Association in 2019. Ms. Nazareth currently serves as the Operating Lead for the Taskforce on Scaling Voluntary Carbon Markets. She will join the board of MoneyLion upon the completion of the company’s public listing. She also serves on several not-for-profit boards, including: Urban Institute; Watson Institute; St. Albans School of Public Service; Board of Visitors of Columbia Law School, Advisory Board of the Brown University Master in Cybersecurity program; and the SEC Historical Society. She is also a member of the American Law Institute and serves on the Advisory Board of Bitfury. Ms. Nazareth previously served on the boards of Brown University; National Cathedral School; and the John T. Walker School for Boys.
Ms. Nazareth graduated from Columbia University School of Law, where she was a Harlan Fiske Stone Scholar, and Brown University, where she graduated magna cum laude and Phi Beta Kappa.
Brett Redfearn was named the U.S. Securities and Exchange Commission's Director of the Division of Trading and Markets in October 2017.
Mr. Redfearn joins the SEC from J.P. Morgan, where he was Global Head of Market Structure for the Corporate and Investment Bank.
Mr. Redfearn has a long history in the U.S. equity markets, having worked with investors, exchanges and broker-dealers. During his career, he has focused on how technology, regulation and business trends are changing trading patterns across asset classes and geographic regions. He has helped build electronic trading products, worked closely with exchanges and other trading venues as these products evolved, and engaged with global asset managers on major regulatory developments. He has also been a frequent contributor at policy forums surrounding U.S. equity markets, and has been an active participant at several meetings of the SEC's Equity Market Structure Advisory Committee.
He has served as Chairman of SIFMA’s Equity Markets and Trading Committee and was a participant on the Security Traders Association (STA) Market Structure Analysts Committee and the Canadian STA (CSTA’s) Trading Issues Committee. Previously, Mr. Redfearn has served on the boards of Bats Global Markets, BATS Exchange, the National Organization of Investment Professionals, the Chicago Stock Exchange, and BIDS Trading.
Mr. Redfearn earned his M.A. in political science from the New School for Social Research and his B.A. from the Evergreen State College in Olympia, Washington.
Christian Sabella is Deputy Director of the Division of Trading and Markets at the U.S. Securities and Exchange Commission (SEC), where he is responsible for the Offices of Market Supervision and Clearance and Settlement. He joined the SEC in 2011 and has served in a number of roles, including as Associate Director for the Office of Clearance and Settlement. Mr. Sabella has a J.D. from Georgetown University Law Center and received his undergraduate degree from the University of Notre Dame.
Cynthia A. Glassman is a member of the Board of Discover Financial Services where she chairs the audit committee. She was also on the Board of Navigant Consulting, Inc., until its recent sale, where she chaired the nominating and governance committee and served on the audit committee. In addition, Dr. Glassman is a Senior Research Scholar focusing on corporate governance in the Institute for Corporate Responsibility at the GWU School of Business. She is also of a member of the Dow Jones five-person Special Committee, an independent body charged with safeguarding the editorial independence of The Wall Street Journal and Dow Jones, as well as their adherence to the highest ethical and professional standards.
Prior to her current roles, she was appointed by President Bush to serve as the Under Secretary for Economic Affairs at the U.S. Department of Commerce from 2006 to January 2009. In that role, she served as the principal economic advisor to the Secretary of Commerce and oversaw two major Federal statistical agencies
She served as a Commissioner of the U.S. Securities and Exchange Commission from 2002 to 2006 and as Acting Chairman during the summer of 2005. As the only Commissioner with a doctorate in economics, Dr. Glassman brought a unique voice to the Commission, where she regularly sought greater rigor in the regulatory process. During her tenure, she was closely involved in developing and voting on the regulations implementing the requirements of the Sarbanes-Oxley Act, as well as a number of other regulations regarding corporate governance and financial markets.
Dr. Glassman has spent over 45 years in the public and private sectors focusing on financial services regulatory and public policy issues. Earlier in her career, she spent 12 years at the Federal Reserve and 15 years at consulting firms. She is currently on the Advisory Board of the Business and Finance Law Program at the George Washington University (GWU) Law School and has served on several nonprofit boards.
Dr. Glassman received her M.A. and Ph.D. in Economics from the University of Pennsylvania and her B.A. in Economics from Wellesley College. She was a supervisor in economics at the University of Cambridge, England, where she has been named an Honorary Fellow of Lucy Cavendish College.
Dalia Osman Blass is the Director of the Securities and Exchange Commission’s Division of Investment Management.
The SEC's Division of Investment Management works to protect investors and to promote capital formation and innovation in investment products and services through oversight and regulation of the nation’s multi-trillion dollar investment management industry. The Division is responsible for the Commission's regulation of investment companies, variable insurance products, and federally registered investment advisers.
Ms. Blass previously served in a number of leadership roles in the Division of Investment Management. Ms. Blass returned to the SEC as Director of the Division of Investment Management in September, 2017 from private practice, where she advised on a broad range of investment fund, private equity, and regulatory matters. Earlier in her career, Ms. Blass practiced corporate law in New York and London.
Ms. Blass earned a J.D. from Columbia University School of Law. She received her B.A in international studies from the American University and studied political science at the American University in Cairo.
Daniel Gallagher advises corporate boards and management on the full range of legal and strategic issues they face, and counsels financial services and accounting firms in investigations, regulatory proceedings and policy matters. Mr. Gallagher brings to his practice an unparalleled breadth of experience from having served not only in senior positions at the Securities and Exchange Commission but also as the chief legal officer of a global, S&P 500 corporation and general counsel of a broker-dealer.
Mr. Gallagher has extensive experience in the public and private sectors, navigating regulatory matters, financial markets, corporate legal affairs and governance, and fintech issues, including the regulatory and policy issues arising from new technology.
Mr. Gallagher previously served as the chief legal officer at Mylan N.V., a leading global pharmaceutical company; as the president of a financial services consulting firm; and as an SEC Commissioner. As an SEC Commissioner, Mr. Gallagher championed corporate governance reform, advocated for a comprehensive holistic review of equity market structural issues, and encouraged greatly improving the commission’s fixed income market expertise.
Mr. Gallagher also served on SEC staff in various senior roles, including as the deputy director and co-acting director of the Division of Trading and Markets, where he was on the front lines of the agency’s response to the financial crisis, including representing the commission in the Lehman Brothers liquidation. He was also a counsel to former SEC Commissioner Paul Atkins and to former Chairman Christopher Cox, working on matters involving the Division of Enforcement and the Division of Trading and Markets.
Earlier in his career, Mr. Gallagher was the senior vice president and general counsel of a global provider of financial services technology, where he managed all legal and regulatory matters. He first joined WilmerHale in 1993 as an associate in the firm’s Securities Department.
Mr. Gallagher serves on the boards of the National Association of Corporate Directors (NACD), a leading membership organization for corporate board directors; Symbiont, a blockchain technology company developing products in smart contracts and distributed ledgers for use in capital markets; and Robinhood, a commission-free investing app. He was formerly a non-executive director of the Irish Stock Exchange.
Mr. Gallagher is also on the advisory boards for the Institute for Law and Economics at the University of Pennsylvania and the Center for Corporate Governance, part of the Raj & Kamla Gupta Governance Institute in Drexel University’s LeBow College of Business.
David D. Lisitza is a member of the Securities and Exchange Commission’s Appellate Group, where he writes briefs and argues cases in the federal courts of appeals.
David focuses on insider trading, and wrote the SEC’s appellate briefs in Salman, Newman, Rajaratnam, Gupta, Obus, and Dorozhko. He also briefs remedies issues, including in Liu and Gabelli. And he works on a range of digital asset issues, such as bitcoin exchange-traded products and initial coin offerings.
David clerked for Judge Frank H. Easterbrook. He also worked on appeals for Mayer Brown and Gibson Dunn. David received both his J.D. and B.A. from the University of Chicago.
David Shillman is an Associate Director in the SEC’s Division of Trading and Markets, where he is responsible for oversight of the U.S. equity and debt markets. Prior to that time, he served in a variety of positions in the Division, including Counsel to the Director and International Counsel. Mr. Shillman was in private practice in New York and Washington, D.C. before joining the SEC in 1995. He is a graduate of Northwestern University and the University of Michigan Law School.
Dominick V. Freda is an Assistant General Counsel in the Office of the General Counsel at the Securities and Exchange Commission. Donnie has served as a member of the Office’s Appellate Group since December 2003. He joined the Commission’s staff from Jones Day, where he had been an associate in the firm’s Issues and Appeals practice group in Washington, D.C.
Donnie graduated cum laude from the University of Pennsylvania Law School in 1998, where he was a member of the University of Pennsylvania Law Review and the National Trial Advocacy Team. After graduating, he clerked for Judge Morton I. Greenberg of the United States Court of Appeals for the Third Circuit.
Donna McCaffrey is a Special Trial Counsel in the Litigation and Administrative Practice Group of the SEC’s Office of the General Counsel. Ms. McCaffrey investigates and prosecutes attorney misconduct cases under SEC Rule of Practice 102(e) and Part 205 of the SEC’s Part 205 Standards of Professional Conduct for Attorneys Appearing and Practicing Before the Commission in the Representation of an Issuer. Ms. McCaffrey has a B.A. in Economics from the Catholic University of America and a J.D. from the College of William and Mary Marshall- Wythe School of Law.
Elizabeth Murphy is Associate Director (Legal) in the Division of Corporation Finance at the U.S. Securities & Exchange Commission. She oversees the work of three offices within the Division: the Office of Rulemaking, Office of Small Business Policy, and Office of Enforcement Liaison. From 2009 until March 2014, Ms. Murphy served as the Secretary of the Commission, heading the office that prepares, reviews, and maintains records of Commission action and advises the Commission and the SEC staff on administrative practices and procedures. From 2000 until 2009, she was Chief of the Division of Corporation Finance’s Office of Rulemaking. In that role, she oversaw teams working on numerous rules, including many required by the Sarbanes-Oxley Act of 2002.
Ms. Murphy first joined the Division in 1986 as an attorney-advisor and was promoted to special counsel in 1987. She was made a special counsel in the Division’s Office of the Chief Counsel in 1996 and later served as counsel to Commissioner Laura S. Unger. She also has served as an adjunct professor in the LLM Degree Program at the Georgetown University Law Center.
She graduated with honors from the University of Virginia in 1982 and received her law degree from the University of Notre Dame in 1985. She is a member of the Virginia bar.
Harvey Pitt is CEO of global business consulting firm Kalorama Partners, and its law firm affiliate, Kalorama Legal Services. From 2001-03, Mr. Pitt was 26th SEC Chairman. Mr. Pitt served previously at the SEC (1968-78), including three years as General Counsel.
Mr. Pitt was a senior corporate partner at Fried, Frank LLP (1978-2001). He received his J.D. from St. John's University Law School (1968), and his B.A. from Brooklyn College (1965). He received an honorary St. John's LL.D. (2002).
Mr. Pitt is an independent director of Paulson & Co.’s international hedge funds and a member of their Audit Committees; is a member of Millennium Capital’s Advisory Council. In 2017, he was appointed to the Advisory board of JBS USA Holdings, Inc.
Heather Seidel, the Chief Counsel in the Division of Trading and Markets at the U.S. Securities and Exchange Commission, began serving as Acting Director of the Division in January 2017. Prior to being named as Chief Counsel in February 2015, Ms. Seidel served as an Associate Director in the Division’s Office of Market Supervision from October 2010. Before that, she worked in TM as an Assistant Director, Senior Special Counsel, and Attorney Fellow.
Before returning to the Commission in 2003, Ms. Seidel was Vice President in the Law Division at Morgan Stanley & Co., Incorporated, advising the institutional equity sales and trading business. Prior to that, Ms. Seidel was an associate at the law firm of Wilmer, Cutler & Pickering in the broker-dealer and investment management practice groups. Ms. Seidel began her career in securities law at the U.S. Securities and Exchange Commission, as a staff attorney and Special Counsel in the Division of Market Regulation and Senior Counsel in the Division of Investment Management.
Ms. Seidel received her J.D. from Georgetown University Law Center, and her B.S in Psychology from the University of Connecticut.
Hester M. Peirce was appointed by President Donald Trump to the U.S. Securities and Exchange Commission and was sworn in on January 11, 2018.
Prior to joining the Commission, Commissioner Peirce conducted research on the regulation of financial markets at the Mercatus Center at George Mason University. Before joining the Mercatus Center, Commissioner Peirce was a Senior Counsel on the Senate Committee on Banking, Housing, and Urban Affairs, where she counseled Ranking Member Richard Shelby and other members of the Committee on securities issues. From 2004 to 2008, Commissioner Peirce worked as counsel to SEC Commissioner Paul S. Atkins. Prior to that, she worked as a Staff Attorney in the SEC’s Division of Investment Management. Before working at the SEC, Commissioner Peirce was an associate at Wilmer, Cutler & Pickering (now WilmerHale) and clerked for Judge Roger Andewelt on the Court of Federal Claims.
Commissioner Peirce earned her BA in Economics from Case Western Reserve University and her JD from Yale Law School.
Jeff Berger is a Senior Litigation Counsel in the Office of the General Counsel at the Securities and Exchange Commission. Jeff has served as a member of the Office’s Appellate Group since December 2009. He joined the Commission’s staff from Mayer Brown, where he had been an associate in the firm’s Chicago and Washington, D.C. offices.
Jeff graduated magna cum laude from the Northwestern University School of Law, where he was editor-in-chief of the Northwestern University Law Review. After graduating in 2003, he clerked for Judge Karen Nelson Moore of the United States Court of Appeals for the Sixth Circuit.
Jeff Rosenblum has served as the SEC’s Deputy General Counsel for General Law and Management since 2014. In this position he supervises, among other areas, attorney discipline, employment law, administrative litigation and professional responsibility. He previously worked for the Department of Justice for nine years, most recently as the General Counsel of the Executive Office for Immigration Review. Prior to the Department of Justice Jeff worked at the Department of Labor and in private practice. Jeff also teaches legal ethics and employment classes at George Mason law school, where he has been an Adjunct Professor since 2005. Jeff graduated from Loyola University Chicago School of Law in 1999 and he received his undergraduate degree from the University of Maryland in 1994.
Jeffrey Mooney is an Associate Director in the SEC's Division of Trading and Markets. He heads the Office of Clearance and Settlement where his responsibilities include developing regulatory standards for central counterparties, central securities depositories and other entities that provide clearance and settlement services. He also represents the SEC in domestic and international policy initiatives.
During his tenure, Jeffrey Mooney has served as counsel to former SEC Chairman Arthur Levitt, and co-chaired a working group of securities regulators and central bankers that developed the international standards for financial market infrastructures. He has also received several SEC awards, and has been a presenter at SEC Speaks, the SEC's International Institute, and various securities industry conferences and events. Jeffrey Mooney received a JD from Georgetown University Law Center and BA in Economics from Fisk University.
Jessica Kane is the Director of the Division of Corporation Finance's Disclosure Review Program. In this capacity, Ms. Kane leads the Division’s important work reviewing transactional, periodic and current reports in furtherance of the Division’s mission critical work to promote capital formation and protect investors. Ms. Kane also leads initiatives to monitor and enhance the effectiveness, relevancy and transparency of disclosures.
Prior to becoming Director of the Disclosure Review Program, Ms. Kane served as Director of the Office of Credit Ratings, leading its work to oversee credit rating agencies registered with the Commission as NRSROs. She led efforts on NRSRO examinations and related SEC annual reports, as well as monitoring initiatives and reports to Congress on competition, transparency and conflicts of interest. Under Ms. Kane’s leadership, the Commission adopted certain rule exemptions relating to ratings of structured finance products.
Before joining OCR, Ms. Kane was the Director of the Office of Municipal Securities and played a leading role in the implementation and operation of the municipal advisor registration regime.
She first joined the SEC in 2007 in the Division of Corporation Finance where she worked on corporate securities disclosure matters until 2012. She worked in the agency’s Office of Legislative and Intergovernmental Affairs from 2012 to 2013.
Ms. Kane holds a bachelor’s degree from Georgetown University and received her law degree from George Mason University School of Law.
John C. Roeser is an Associate Director in the Division of Trading and Markets. In this position, he is responsible for the administration of the Division’s regulatory oversight responsibilities of U.S. securities exchanges and FINRA, alternative trading systems, and addresses issues involving market participants, products, and market structure. Mr. Roeser joined the staff in 1998. During his tenure, Mr. Roeser has received numerous SEC awards, including the SEC’s Jay Manning Award in 2008, which is given annually to an employee in the Division of Trading and Markets who demonstrates an outstanding commitment to excellence in preserving fair and honest markets. Mr. Roeser holds a bachelor’s degree from Michigan State University and graduated cum laude from Michigan State University College of Law. He received a master of laws in securities and financial regulation from Georgetown University Law Center.
John Polise is the Associate Director in the Office of Compliance Inspections and Examinations new Broker-Dealer/ Exchange Group (BDX). He heads the National Examination Program for registered broker-dealers and exchanges. Previously he lead the Market Oversight Group where he supervised the inspection of all domestic equity and options exchanges, the operation of FINRA, the MSRB and SIPIC. Mr. Polise has served as an Assistant Director in the SEC’s Division of Enforcement, the Division of Trading and Markets, and the Office of Compliance Inspections and Examinations. Mr. Polise was Counsel to the Chairman of the SEC, Counsel to the Chairman of the CFTC, Counsel to the Director, Division of Enforcement at the CFTC and Counsel to the Director for Markets at the SEC’s Division of Enforcement. He has held positions at FINRA in both Enforcement and Member Regulation. He began his career as an Associate at Cahill Gordon & Reindel in New York and clerked for the Honorable Stanley Sporkin, US District Court for the District of Columbia. He graduated from the University of Pennsylvania, magna cum laude in 1985 and is a 1988 graduate of New York University School of Law. He has been an adjunct professor at Georgetown University School of Law and is currently an adjunct professor, teaching securities regulation at George Mason School of Law.
Kristin Snyder is the Deputy Director of the SEC’s Division of Examinations as well as the National Associate Director of the Investment Adviser/Investment Company Examination Program. Ms. Snyder also serves as the Associate Regional Director for Examinations in the SEC’s San Francisco Regional Office, where she leads the examinations program. Ms. Snyder has worked at the SEC for more than fifteen years, and previously served as a Branch Chief and a Senior Counsel in the San Francisco office’s enforcement program. Prior to joining the SEC staff, Ms. Snyder practiced with Sidley Austin Brown & Wood LLP in San Francisco. She earned her law degree from the University of California Hastings College of the Law, and received her bachelor’s degree from the University of California at Davis.
Kyle Moffatt is Chief Accountant for the SEC’s Division of Corporation Finance. He previously served as an Associate Director responsible for oversight of the filing review program for public companies in the healthcare, insurance and financial services industries. Prior to joining the Division’s senior executive leadership team, Mr. Moffatt was an Associate Chief Accountant in the Division’s Office of the Chief Accountant where he provided accounting and reporting guidance to the financial services and telecommunications industry groups. He also previously served as an Accounting Branch Chief since joining the Division as a Professional Accounting Fellow in 2000.
Prior to joining the SEC, Mr. Moffatt was a Manager in the Assurance and Advisory Business Services group at Ernst & Young. He is a graduate of the University of Maryland at College Park and a member of the American Institute of CPAs.
Michael A. Conley is the Solicitor at the Securities and Exchange Commission, a position that he has held since October 2015. In that position, Mr. Conley oversees the agency’s appellate litigation and bankruptcy group. Between September 2011 and October 2015, he was a Deputy General Counsel and from October 2000 to September 2011, he was a member of the Appellate Group within the Commission’s Office of the General Counsel. Mr. Conley joined the Commission’s staff from Pillsbury Madison & Sutro LLP, where he had been a partner in the firm’s Washington, DC office.
Mr. Conley graduated in 1989 from Boston University School of Law, where he was editor-in-chief of the law review. He clerked for Judge Abner J. Mikva of the United States Court of Appeals for the District of Columbia Circuit and for Associate Justice Harry A. Blackmun of the Supreme Court of the United States.
Michael A. Macchiaroli is an Associate Director, Office of Broker-Dealer Finances, Division of Trading and Markets, U.S. Securities and Exchange Commission, where he is responsible for the broker- dealer financial responsibility program, which deals with the capital record-keeping, reporting and customer protection Rules. Mr. Macchiaroli has been employed at the Commission since 1970 and in the Division of Trading and Markets since 1978.
Michele M. Anderson is an Associate Director in the Division of Corporation Finance at the U.S. Securities and Exchange Commission. As a member of the Division’s senior leadership team, Ms. Anderson is responsible for oversight of the disclosure review program for public companies and the work of the Division’s Specialized Policy and Disclosure offices, including Mergers and Acquisitions, International Corporate Finance, and Structured Finance. She also oversees rulemaking initiatives and interpretive positions taken by the Division on domestic and cross-border M&A transactions, the federal proxy rules, and the registration, disclosure, and reporting requirements that apply to foreign issuers and issuers of asset-backed securities.
Ms. Anderson has been a member of the staff at the SEC since 1998. From 2008 to 2015, she served as Chief of the Division of Corporation Finance’s Office of Mergers and Acquisitions, overseeing the regulation of M&A transactions as well as the interpretive functions of the SEC as they relate to tender offers, mergers, contested and other non-routine proxy solicitations, going private transactions, reorganizations, debt restructurings and beneficial ownership reporting. Prior to that, she served in a variety of positions in the Division, including branch chief of the group responsible for the review of the federal securities law filings made by telecommunication companies and service providers.
In addition to her duties at the SEC, Ms. Anderson served as an Adjunct Professor of Law at the Georgetown University Law Center, where she taught the course “Takeovers, Mergers and Acquisitions.” She received her B.A., magna cum laude, Phi Beta Kappa, from the University of Colorado at Boulder and her Juris Doctorate from the University of Colorado Law School.
Mr. Brenner was Chief Counsel of the SEC’s Enforcement Division from January 2011 through August 2021. He also is Adjunct Professor at the Columbus School of Law, Catholic University of America.
Prior to joining the SEC, he was a partner at Wilmer Cutler Pickering Hale and Dorr LLP. At WilmerHale, he was Vice-Chair of the firm’s Securities Department, and his practice focused on securities enforcement, related civil and criminal litigation, and internal corporate investigations.
Mr. Brenner served as a Court Law Clerk for the U.S. Court of Appeals for the District of Columbia Circuit. He graduated from Georgetown University Law Center, and received his undergraduate degree from Cornell University.
Peter Driscoll was named Director of the U.S. Securities and Exchange Commission’s Office of Compliance Inspections and Examinations (OCIE) in October 2017, after serving as Acting Director since January 2017.
Before that, he served as OCIE’s first Chief Risk and Strategy Officer since March 2016, and was previously OCIE’s Managing Executive from 2013 through February 2016.
He joined the Agency in 2001 as a staff attorney in the Division of Enforcement in the Chicago Regional Office and was later a Branch Chief and Assistant Regional Director in OCIE’s Investment Adviser and Investment Company examination program.
Prior to the Agency, Mr. Driscoll began his career with Ernst & Young LLP and held several accounting positions in private industry. He received his B.S. in Accounting and law degree from St. Louis University. He is licensed as a certified public accountant and is a member of the Missouri Bar Association.
Richard R. Best was named Regional Director of the U.S. Securities and Exchange Commission’s New York Regional Office in September 2020. He was previously the Regional Director of the Salt Lake Regional Office, serving from July 2015 to February 2018, and Regional Director of the Atlanta Regional Office, serving from February 2018 to September 2020.
Before coming to the Commission, Mr. Best was a Chief Counsel in the Department of Enforcement of the Financial Industry Regulatory Authority (FINRA). Mr. Best was also a Director, Senior Trial Attorney and Trial Attorney at FINRA.
Mr. Best previously worked as an Assistant District Attorney in the Office of the Bronx County District Attorney. He was a supervisor in the Office’s Rackets Bureau where he managed high-profile public integrity and organized crime prosecutions, among other matters.
Mr. Best received his bachelor’s degree from the State University of New York, College at Old Westbury, and a law degree from the Howard University School of Law.
Robert J. Jackson, Jr. is Professor of Law, Co-Director of the Institute for Corporate Governance and Finance, and Director of the Program on Corporate Law and Policy at the New York University School of Law. He was nominated and unanimously confirmed by the Senate to be Commissioner of the U.S. Securities and Exchange Commission in 2017 and served in that role until February 2020.
Prior to his nomination to the Commission, Professor Jackson taught at Columbia Law School, where students honored him with the Reese Prize for Excellence in Teaching. Before that, he served as a senior policy advisor at the U.S. Treasury Department during the financial crisis and as deputy to Kenneth Feinberg, Treasury’s Special Master on Executive Compensation. Earlier in his career, Professor Jackson practiced law at Wachtell, Lipton, Rosen & Katz and was an investment banker at Bear, Stearns. Jackson holds two undergraduate degrees from the University of Pennsylvania, an MBA in Finance from the Wharton School of Business, an MPP from Harvard’s Kennedy School, and a JD from Harvard Law School. He was born in the Bronx, is a lifelong fan of the New York Yankees, and lives in New York with his wife, Bryana and son Briggs.
Roberta S. Karmel is Centennial Professor of Law and Co-Director of the Dennis J. Block Center for the Study of International Business Law at Brooklyn Law School. She was engaged in the private practice of law in New York City for over thirty years. She was a Commissioner of the Securities and Exchange Commission from 1977-80, a public director of the New York Stock Exchange, Inc. from 1983-89, and a member of the National Adjudicatory Council of the NASDR from 1998-2001.
Professor Karmel is a member of the CFP Board and a Trustee of the Securities and Exchange Commission Historical Society. She is Chair Emerita of the Board of Trustees of the Practising Law Institute. She is a member of the the American Bar Association, the American Law Institute, the Economic Club of New York, the Financial Women’s Association, and a Fellow of the American Bar Foundation.
Professor Karmel is the author of over 90 articles in books and legal journals and wrote a regular column on securities regulation for the New York Law Journal from 1980-2016. Her book entitled Regulation by Prosecution: The Securities and Exchange Commission vs. Corporate America was published by Simon and Schuster in 1982. Her book Life at the Center: Reflections on Fifty Years of Securities Regulation was published by PLI in 2014.
Roel Campos is a senior counsel in Hughes Hubbard & Reed LLP’s Washington, D.C. office and is Chair of the Securities Enforcement practice. Roel’s practice consists of advising and defending corporate officers and boards of directors with respect to SEC enforcement, FCPA and internal investigations, criminal prosecutions, securities and internal regulation and corporate governance.
Beginning in 2002, Roel was appointed twice by President George W. Bush and confirmed by the U.S. Senate as a Commissioner of the Securities and Exchange Commission (SEC), and served until 2007. Earlier in his career, he served as an Assistant U.S. Attorney in Los Angeles. Roel has also been an entrepreneur, and, with partners, raised capital from major investors and operated a successful broadcasting company. Roel currently serves on the corporate boards for public and private companies, and he is a recognized expert in financial regulation.
Roel received his B.S. from the U.S. Air Force Academy, his MBA from UCLA, and J.D. from Harvard Law School.
Scott Bauguess is the Director of the program on financial market regulation in the Salem Center for Policy and is the former SEC’s Deputy Chief Economist and Deputy Director of the Division of Economic and Risk Analysis (DERA). He oversaw the Division’s risk assessment and data-driven, predictive analytics development, designed to detect fraud and misconduct in the Commission’s investigation and examination programs, specifically in the areas of corporate issuers, broker- dealers, and asset managers. As part of this, he directed economic analyses in recommendations to the Commission on issues related to the form and manner of registrant disclosures and governance.
Scott received his Ph.D. in Finance from Arizona State University in 2004. He also holds a B.S. and M.S. in Electrical Engineering and prior to his doctoral studies spent six years working as an engineer in the high tech industry.
Steven Wallman is founder and CEO of Folio Financial, Inc. (formerly known as FOLIOfn, Inc.) which, directly and through subsidiaries, offers various financial technology and related services including Folio Investing, Folio Institutional, VIAFolio, First Affirmative Financial Network, and The SRI Conference.
The Folio family delivers innovative tools and technology that benefit investors and those who serve them. Folio Investing is an online brokerage using its patented technology to help individuals invest in a more diversified, customized, and cost-efficient manner, and to benefit from one-of-a-kind tax management tools. Folio Institutional provides fully-integrated trading, custody, clearing, performance reporting, paperless account opening, state of the art digital engagement and robo/hybrid-advisor solutions along with a complete set of APIs and private label capabilities to investment advisors, banks, credit unions, insurance companies and other enterprise clients.
VIA Folio is a dynamic platform for capital raising by small to medium sized enterprises, and for those interested in investing in private securities and alternative investments, including non-traded REITs, Reg A+ offerings and others, all with transparency and ease.
First Affirmative offers investment advisory, portfolio management, and consulting services to investors seeking sustainable, responsible and impact investments, while The SRI Conference, now in its 31st year, is the premier event for advisors and others interested in SRI investing.
Before founding Folio Financial, Mr. Wallman was an SEC Commissioner from 1994 to 1997, appointed by President Bill Clinton. During Mr. Wallman’s tenure, he was a vocal advocate for individual investors and is now a recognized authority on securities markets, trading, and the application of technology to financial services. He frequently speaks at industry events and recently served on the SEC’s Investor Advisory Committee, where he chaired its Market Structure Subcommittee and currently serves on FINRA’s Fintech Advisory Committee.
Previously, Mr. Wallman was a partner at the law firm of Covington & Burling. He earned his Juris Doctor from Columbia University, and holds two degrees from the Massachusetts Institute of Technology.
Tamara M. Brightwell serves as Deputy Director of the Disclosure Review Program in the Division of Corporation Finance at the U.S. Securities and Exchange Commission. Ms. Brightwell oversees the work of the Division’s reviews of transactional filings and periodic and current reports in furtherance of the Division’s mission-critical work to protect investors and promote capital formation. Prior to this role, Ms. Brightwell served as Deputy Chief Counsel in the Division’s Office of Chief Counsel, where she led staff in providing interpretive guidance on the application of the federal securities laws, including public company disclosure requirements and securities offering rules. From 2013 to 2017, she served as Senior Advisor to SEC Chair Mary Jo White. Ms. Brightwell also has held a variety of positions in the Division of Corporation Finance, including Senior Advisor to the Director and Special Counsel in the Office of Chief Counsel. She originally joined the Division as an attorney in the Disclosure Review Program.
Ms. Brightwell received a B.S. in financial management, cum laude, from Clemson University, and a J.D. from the University of Notre Dame Law School.
Troy A. Paredes is the founder of Paredes Strategies LLC. From 2008 -2013, Paredes was an SEC Commissioner, appointed by President George W. Bush.
Paredes advises on financial regulation, compliance, risk management, corporate governance, and regulatory strategy. He also serves as an expert and advisor in regulatory enforcement investigations and in private litigation involving securities law and corporate law. Paredes has brought his extensive government, compliance, enforcement, and regulatory experience to bear in serving as an independent compliance consultant/corporate monitor.
Paredes was a professor of law at Washington University in St. Louis before joining the SEC.
Paredes co-hosts a podcast on fintech called “Appetite for Disruption.”
Paredes has served on the board of advisors and as a member of the board of directors at several companies.
Paredes holds a bachelor’s degree in economics from UC Berkeley and earned his J.D. from Yale Law School.
Tyler Raimo serves as Senior Special Counsel in the Office of Market Supervision in the Division of Trading and Markets, where he is responsible for the oversight of alternative trading systems (ATSs) and NMS Stock ATSs. Prior to joining the Division of Trading and Markets, Mr. Raimo served as a Branch Chief in the Office of Compliance Inspection and Examinations, where he was responsible for examining self-regulatory organizations, ATSs, and broker-dealers. Prior to joining the SEC in 2007, Mr. Raimo was in-house counsel for a publicly-traded information technology company with both government and commercial customers. Mr. Raimo received a B.A. from the University at Albany, State University of New York; a J.D. from American University, Washington College of Law; and an LL.M. in Securities and Financial Regulation from Georgetown University Law Center.
Bridget Fitzpatrick was named the Enforcement Division’s Chief Litigation Counsel in September 2017 after serving as Co Acting Chief Litigation Counsel since November 2016. She was previously a Supervisory Trial Counsel and an Assistant Chief Litigation Counsel in the Division of Enforcement. Ms. Fitzpatrick was awarded the Chairman’s Award for Excellence and George Washington University’s Arthur S. Flemming Award for Legal Achievement for her trial work at the Commission.
Before serving at the Commission, Ms. Fitzpatrick was an Assistant U.S. Attorney in Washington, D.C., where she worked in the domestic violence, appellate, and fraud and public corruption sections of the office. As a prosecutor, Ms. Fitzpatrick personally tried more than thirty cases to verdict.
Ms. Fitzpatrick received a bachelor’s degree from Cornell University and law degree from Georgetown University Law Center, both with honors.
Carson joined DTCC as an Executive Director and Associate General Counsel in the General Counsel’s Office in February 2019, where he provides a wide-range of legal support and advice to DTCC’s three registered clearing agencies – Fixed Income Clearing Corporation, National Securities Clearing Corporation, and The Depository Trust Company – each designated as a systemically important financial market utility for their respective roles in the clearance and settlement of cash-market securities, including transactions in U.S. Government debt, mortgage- backed securities, equities, corporate and municipal debt, exchange-traded funds, institutional trades, and money-market instruments.
Prior to joining DTCC, Carson served for over six and a half years in various roles in the Office of Clearance and Settlement, in the Division of Trading and Markets, of the U.S. Securities and Exchange Commission (SEC). Most recently, Carson was the Assistant Director for equity and fixed income clearing.
Prior to joining the SEC, Carson was a Senior Attorney for FINRA’s Criminal Prosecution Assistance Group, and an Investigator in FINRA’s Department of Enforcement.Carson holds an LL.M. in Securities and Financial Regulation, with distinction, from the Georgetown University Law Center, a J.D. from Syracuse University College of Law, and a B.A. from Dickinson College.
Consultant on Corporate and Financial Markets Law
Admitted to the Bar of New York and of the US Supreme Court
Practice Areas: Business Entities; Financial Regulation; Capital Markets
Counsel/Consultant on US law and regulations applicable to business entities and to participants in the US
securities and derivatives markets, including investment banks, securities broker/dealers, futures commission
merchants, investment advisers and commodity trading advisors, both within and across borders into the US
1956 - 1959 Columbia University Law School, LL.B., Harlan Fiske Stone Scholar
1949 - 1953 Harvard College, B.A. cum laude
Career to Date:
2011 to date: Independent Consultant; Consulting Editor (2014) to Metropolitan Corporate Counsel
1994 - 2010: Senior Counsel, Linklaters LLP (resident in New York)
1992 - 1994: Partner, Rosenman & Colin, New York
1986 - 1992: Commissioner, US Securities & Exchange Commission, Washington DC
1959 - 1985: Partner (previously Associate), Beekman & Bogue, New York
1998 - 2014: Chairman (Co-Chair fr.2011), Int’l. Law Ass’n. Committee on International Securities Regulation
1999 - 2002: Chairman, Amer. Bar Ass’n. Int’l Law Committee on Int’l Securities Transactions
1995 - 1999: Chairman, Amer. Bar Ass’n. Business Law Committee on Professional Responsibility
1990 - 1991: President, American College of Investment Counsel
1987 - 1991: Chairman, Amer. Bar Ass’n. Business Law Committee on Developments in Business Financing
1981 - 1984: Chairman, Amer. Bar Ass’n. Admin. Law Committee on Securities, Commodities & Exchanges
1980 - 1983: Chairman, Amer. Bar Ass’n. Business Law Subcommittee on Model Simplified Indenture
1973 - 1978: Chairman, Amer. Bar Ass’n. Business Law Subcommittee on Broker-Dealer Matters
1952 -1955: U.S. Army Military Intelligence (stationed in Nuremberg, Germany)
Dan is the Associate Director over OCIE’s Office of Clearance and Settlement Examinations and has led that group since 2016. That group examines the financial and operational risks and controls of clearing agencies critical to the nation’s markets for compliance with the Dodd-Frank Act and federal securities laws applicable to clearing agencies. Dan is also the Associate Regional Director in charge of the Broker-Dealer Examination (BD Exam) Program in the Chicago Regional Office (CHRO) of the SEC and has led that group since 2014. He joined the CHRO BD Exam Program as an Assistant Regional Director in 2007, where he led some of the CHRO’s and Commissions’ largest and most complex fraud, sales practice and market structure exams of regulated entities. Prior to that, Dan spent 14 years with the SEC as an attorney in the CHRO’s Enforcement Group. There, he served as an Assistant Regional Director of Enforcement directing notable investigations and prosecutions of complex fraud and regulatory matters.
Dan is a member of OCIE’s Executive and Operating Committees. He has also co-chaired and subsequently sponsored the OCIE’s New and Structured Products Specialized Working Group, where he directed and then supported that group’s efforts to identify such products, educate the exam staff as to the issues associated with them, inform policy and undertake National Exam Initiatives. Dan has also represented the Commission internationally, providing technical assistance and training to securities regulators from developing markets regarding the foundations of effective compliance systems and examination programs.
Prior to joining the Commission, Dan spent seven years in the litigation departments of private law firms in Chicago handling matters involving personal injury and commercial disputes, including commercial fraud claims. Dan received his Bachelor of Science in Business Administration and his Juris Doctor from the University of Illinois in 1983 and 1986 respectively.
David oversees the work of the Division’s Office of Chief Counsel. The office provides guidance to public companies on registration, reporting and other compliance matters. The office also annually responds to hundreds of requests to exclude shareholder proposals.
Previously, David was Assistant General Counsel in the SEC’s Office of General Counsel. There, he advised the Division and the Commission on a number of rulemakings, including implementation of the Sarbanes-Oxley Act, the Dodd-Frank Act, and the JOBS Act.
Before joining the Office of General Counsel in 1997, David spent three years as an enforcement attorney in the SEC’s San Francisco Regional Office. Prior to that, he spent eight years in private law practice.
David received his bachelor’s degree from the University of California at Berkeley in 1982 and his law degree from Georgetown University in 1986.
Laura serves on the Nomura Global Financial Products and Nomura Securities International Boards, as well as an independent director of three public company boards : CA Technologies Inc., CIT Group, and Navient Corporation.
Laura was a Special Advisor at Promontory Financial Group for four years and before that JP Morgan’s Independent Consultant for the Global Analyst Conflict Settlement for six years.Laura’s fourteen year government tenure included serving as the 78th member of the Securities and Exchange Commission (including six months as Acting Chairman), Securities Counsel to the United States Senate Banking Committee and as an attorney with the SEC’s Enforcement Division in Washington, D.C. and New York City.
Mr. Roy, an attorney, joined the Commission in February 1999 and has spent his entire tenure in the Office of Financial Responsibility within the Division of Trading and Markets. This office is responsible for administering the broker-dealer financial responsibility rules, including the net capital rule, customer protection rule, books and records rules, and financial reporting rule. The office also is responsible for administering the capital, margin, segregation, recordkeeping, and reporting rules for security-based swap dealers under Title VII of the Dodd-Frank Act. Other office responsibilities include reviewing the broker-dealer customer margin rules of the self-regulatory organizations and administering the Commission’s oversight of the Securities Investor Protection Corporation (SIPC).
Mr. Roy received a Bachelor of Arts degree from Middlebury College and a Juris Doctor degree from Catholic University.
Ms. Avakian leads the firm’s Securities and Financial Services Department in counseling and defending public companies, investment banks, asset management firms, accounting firms, boards of directors and individual executives through the challenges of government investigations.
Prior to joining the firm, Ms. Avakian served as Director of the SEC’s Enforcement Division, where she oversaw the Division’s approximately 1,400 professionals and staff. During her four years leading the Division, the SEC brought more than 3,000 enforcement actions, obtained judgments and orders for more than $17 billion in penalties and disgorgement, and returned approximately $3.6 billion to harmed investors. Matters under Ms. Avakian’s direction concerned a wide range of issues including insider trading, financial fraud and disclosure violations, auditor and accounting issues, market structure, asset management, and the Foreign Corrupt Practices Act. She also led the Enforcement Division in confronting novel issues at the forefront of the markets today, such as initial coin offerings, digital assets, and cybersecurity. Throughout her tenure, Ms. Avakian took steps to increase the Division’s efficiency by implementing strategies to decrease the length of investigations, streamline the process for returning money to harmed investors, and expedite the review of whistleblower claims. Ms. Avakian also worked closely with other leaders at numerous federal, foreign and state agencies including the Department of Justice, CFTC, FINRA, CFPB, UK Financial Conduct Authority, and Office of the New York Attorney General.
Ms. Avakian’s experience addressing issues faced by financial services institutions and public companies date back to her previous 14-year tenure at WilmerHale. Before leaving the firm for the SEC in 2014, she served as vice chair of WilmerHale’s Securities Department. Throughout her time in various leadership roles, Ms. Avakian has emphasized the importance of diversity and inclusion. Most recently, during her tenure at the SEC, the Enforcement Division increased the number of women and minorities in senior officer positions.
Ms. Avakian began her legal career working in various capacities at the SEC, including as counsel to former Commissioner Paul R. Carey and as a branch chief and staff attorney in the Division of Enforcement. Her experience and understanding of the government’s priorities and processes position her well to guide clients successfully through government investigations.
Neel is a Senior Special Counsel and is the Crypto Specialist in the Division of Trading and Markets, where his work focuses on initial coin offerings, as well as broker-dealer, fund-related and exchange/ATS matters relating to digital assets and DeFi, as well as fintech more generally.
Neel received a Bachelor of Civil Laws degree from Oxford University in 2004, and a Juris Doctor degree from Columbia Law School in 2010. Prior to joining the Commission, Neel worked as a corporate and securities law associate at Sullivan and Cromwell LLP.
Robert Cohen is a partner in the Washington, DC office of Davis Polk & Wardwell. He is a member of the firm’s White Collar Criminal Defense and Government Investigations Group.
Mr. Cohen held senior positions in the Enforcement Division of the Securities and Exchange Commission during a 15-year tenure. He served as the first Chief of the SEC’s Cyber Unit, and previously was Co-Chief of the Market Abuse Unit. Mr. Cohen supervised a wide variety of high-profile cases, including investigations of complex insider trading; market structure violations by broker-dealers, trading platforms, and national securities exchanges; financial fraud and disclosure violations by public companies; investment adviser compliance and trading violations; cybersecurity controls; and cryptocurrency, initial coin offerings, and other digital assets.
Mr. Cohen is admitted to practice in New York, Maryland, and Washington DC.
Steven Peikin leads Sullivan & Cromwell’s Securities & Commodities Investigations & Enforcement Practice. He brings decades of experience at the most senior levels of government and in private practice to his representation of clients in a wide range of regulatory enforcement investigations, white-collar criminal matters, and internal investigations. He has particular expertise in matters involving the federal securities and commodities laws.
From 2017 to 2020, Mr. Peikin served as Co-Director of the U.S. Securities and Exchange Commission’s Division of Enforcement, where he oversaw all aspects of the SEC’s national enforcement program, supervising its more than 1400 attorneys, accountants, and staff across its 12 offices.
During his prior tenure at the Firm, Mr. Peikin led S&C’s Criminal Defense & Investigations Group, advising clients in nearly every major enforcement initiative brought over the course of more than a decade. He represented institutions and individuals in numerous high-profile matters, including those involving alleged violations of federal securities and commodities laws, the FCPA, price-fixing, and compliance with economic sanctions and anti-money laundering regimes.
Before joining S&C, Mr. Peikin served for eight years as a prosecutor in the U.S. Attorney’s Office for the Southern District of New York, including as Chief of the Securities and Commodities Fraud Task Force.
Mr. Peikin has tried more than 20 criminal jury cases in federal court and argued numerous appeals before the U.S. Court of Appeals for the Second Circuit.
Mr. Peikin clerked for J. Edward Lumbard, United States Circuit Judge for the Second Circuit and Robert P. Patterson, Jr., United States District Judge for the Southern District of New York. He graduated from Yale College and Harvard Law School, both magna cum laude.
Tom has worked in the SEC’s Office of the General Counsel since 1998, and has been an Assistant General Counsel since 2006. He helped draft the Part 205 attorney conduct rules, and is involved in investigating possible attorney misconduct and bringing administrative proceedings against attorneys pursuant to SEC Rule of Practice 102(e). Tom was also involved in drafting the anti-retaliation and other provisions of the Commission’s rules implementing its Dodd-Frank whistleblower program, and has worked on amicus briefs on whistleblower issues, including the United States’ brief in Lawson v. FMR, 571 U.S. 429 (2014), and Digital Realty Trust v. Somers, 138 S.Ct. 767 (2019).
He is a graduate of Harvard University and of the University of Virginia School of Law.
Wesley “Wes” Bricker is a Vice Chair and PwC’s Assurance Leader for the US and Mexico. In this capacity, Wes’ responsibilities encompass audit quality, business development and portfolio strategy, human capital, diversity, innovation, and technology.
Prior to joining PwC US, Wes served as the Securities and Exchange Commission’s Chief Accountant beginning in 2016, after serving as the deputy chief accountant following a role as a professional accounting fellow. In his role as the SEC’s Chief Accountant, Wes was the principal advisor to the Commission on accounting and auditing matters, and led the Commission’s Office of the Chief Accountant, a group of professionals widely regarded for advancing the quality of accountancy and financial reporting oversight in the capital markets in the US and internationally. He was also responsible for assisting the Commission with discharging its oversight of the Financial Accounting Standards Board (FASB) and the Public Company Accounting Oversight Board (PCAOB), and also served as chair for the Monitoring Group, a group of regulatory and international financial organizations committed to advancing the public interest in international audit standard setting and audit quality.
Wes returns to PwC where he previously served clients in the banking, capital markets, financial technology, and investment management sectors, and also served as a member of the firm's National Quality Organization.
Wes received a BS in accounting from Elizabethtown College and a JD from American University. He is licensed as a certified public accountant and is a member of the New York State Bar Association.
David H. Saltiel is the Acting Director of the Division of Trading and Markets at the United States Securities and Exchange Commission (SEC). David also leads the Office of Analytics and Research (OAR) in Trading and Markets which is responsible for leading the quantitative and qualitative research and analysis related to the SEC’s policies on markets and market structure. David holds an M.Sc. from the University of Oxford and a B.A. from Williams College.
Scott E. Walster is a Principal in the securities and financial regulation practices at Global Economics Group.
Most recently, Mr. Walster served as Assistant Director in the Division of Economic and Risk Analysis of the US Securities and Exchange Commission (SEC). While at the SEC, Mr. Walster supervised and performed economic analysis for hundreds of enforcement actions. His work focused on the economics of spoofing and high frequency trading market manipulations; insider trading; securities lending; corporate disclosure; and investment adviser “cherry picking” and churning frauds. The economic advice he provided was used to help determine investor damages, ill-gotten gains, and corporate penalties – as well as to distribute money back to investors through Fair Funds.
Mr. Walster has provided live and written expert testimony on matters involving portfolio performance, derivative trading strategies, and market manipulations. He was part of a team that received the SEC’s Analytical Methods Award – an award presented annually for innovative analytical work – for a large-scale statistical analysis that was used to identify dozens of participants in an insider trading ring.
Mr. Walster has advised and provided testimony for the US Department of Justice on a number of criminal securities fraud investigations and trials; and he has advised the Commodity Futures Trading Commission and the Federal Trade Commission on investigations.
Prior to joining the SEC, Mr. Walster spent nearly a decade managing consulting teams supporting litigation and regulatory matters, including a previous stint at Global Economics Group during which he helped develop the firm’s securities fraud and valuation practices. Mr. Walster received B.S. degrees in Economics and Finance from the University of Illinois at Chicago where he graduated with university honors and highest distinction in Finance.
Shelley E. Parratt is Deputy Director of the SEC’s Division of Corporation Finance. In this capacity, Ms. Parratt oversees the Division’s disclosure review program, which is responsible for assisting over 7,000 reporting companies in meeting their disclosure obligations under the federal securities laws. Ms. Parratt also assists the Director in strategic planning for the Division and in developing Division policy and operational procedures.
Ms. Parratt served as Acting Director of the Division during the first half of 2017 and the first half of 2009, overseeing all disclosure review, rulemaking and other Division operations. She received a MBA from Syracuse University and a BA from St. Lawrence University.
William H. Hinman is Director of the SEC’s Division of Corporation Finance. The Division seeks to ensure that investors are provided with material information in order to make informed investment decisions, provides interpretive assistance to companies with respect to SEC rules, and makes recommendations to the Commission regarding new and existing rules.
Before serving at the Commission, Mr. Hinman was a partner in the Silicon Valley office of Simpson Thacher & Bartlett LLP, where he practiced in the corporate finance group. He has advised issuers and underwriters in capital raising transactions and corporate acquisitions in a wide range of industries, including technology, e-commerce, and the life-sciences.
Prior to joining Simpson Thacher in 2000, Mr. Hinman was the managing partner of Shearman & Sterling’s San Francisco and Menlo Park offices. He received his B.A. from Michigan State University with honors in 1977 and his J.D. in 1980 from Cornell University Law School, where he was a member of the Editorial Board of the Cornell Law Review. He is a member of the Bar Association of the State of California and the Association of the Bar of the City of New York. Mr. Hinman also is a fellow of the American Bar Foundation.
Andrew R. Bernstein is a Senior Special Counsel in the Office of Derivatives Policy in the Division of Trading and Markets, where he works on drafting new rules necessary to implement the OTC derivatives reforms in Title VII of the Dodd Frank Act. He also plays a leading role on the cross-divisional and interagency teams responsible for the Volcker Rule. In addition, Andrew provides interpretive advice on the regulatory treatment of novel derivatives products under the Securities Exchange Act of 1934, and administering new product provisions contained in the Dodd-Frank Act. Prior to holding his current position, Andrew was a Branch Chief in the Office of Chief Counsel and a Special Counsel in the Office of Clearance and Settlement, both of which are also in the Division of Trading and Markets.
Prior to joining the SEC in 2010, Andrew practiced securities and corporate law at Sullivan & Cromwell LLP. Andrew received a Bachelor of Science from the College of Agriculture and Life Science at Cornell University in 1995, and a Juris Doctor, magna cum laude, from American University Washington College of Law in 2005.
Anthony S. Kelly focuses his practice on trial, investigations and securities litigation, with an emphasis on matters concerning the asset management industry. As a former co-chief of the Enforcement Division’s Asset Management Unit at the U.S. Securities and Exchange Commission, Mr. Kelly has a thorough background in supervising investigations of misconduct by investment advisers and service providers to mutual funds, ETFs, hedge funds, private equity funds and other investment products. In recognition of his SEC service, he was awarded the Chairman’s Award for Excellence and the Ellen B. Ross Award, which acknowledge his exemplary commitment and performance in enforcing the federal securities laws.
During his time at the SEC, Mr. Kelly oversaw investigations and enforcement actions covering a wide range of asset management-related issues, including fund valuation, fund distribution and 12b-1 fees, conflicts of interest, fund governance, trading away and best execution, trade allocation, cross trading and principal transactions, investment adviser and broker-dealer registration, and whistleblower retaliation.
He also has extensive experience in parallel criminal and SEC investigations and insider trading investigations. He investigated a large-scale insider trading ring involving hedge fund traders and other industry professionals, as well as a serial insider trading scheme involving an investment banker and private equity firm associate.
Mr. Kelly has spoken at numerous industry and regulatory conferences, hosted by organizations such as the Investment Adviser Association, Investment Company Institute, Managed Funds Association, Mutual Fund Directors Forum, PLI, NYU Program on Corporate Compliance and Enforcement, and American Bar Association.
Charles Wright serves as the senior legal and policy advisor to the Division of Enforcement's Chief Accountant. In that position, he plays a key role in Enforcement matters involving accounting and auditing actions. Prior to his current position, he served as a member of a task force devoted to pursuing accounting frauds and as a senior counsel in the Division. Mr. Wright was a trial attorney at the CFTC and in private practice before joining the Commission. He received his law degree from the University of Virginia School of Law.
Christian T. Sandoe is Assistant Director of the Disclosure Review Office in the Division of Investment Management at the U.S. Securities and Exchange Commission. The Disclosure Review Office is primarily responsible for reviewing investment company registration statements and proxy materials. Mr. Sandoe has been at the Commission since 1996. Mr. Sandoe has been with Disclosure Review Office in the Division of Investment Management since 2000, initially as a Senior Counsel and subsequently as a Branch Chief and then Assistant Director.
Before joining the Division of Investment Management, he served as a Senior Counsel in the Division of Enforcement in the New York Regional Office. Mr. Sandoe graduated from Georgetown University Law Center (LL.M, Securities and Financial Regulation, with distinction, 1996), Suffolk University (J.D., cum laude, 1995) and Ithaca College (B.A. 1991).
David Dimitrious is an attorney at the Securities and Exchange Commission in the Division of Trading & Markets’ Office of Market Supervision, where he focuses on market structure for equities, listed options and fixed income. Mr. Dimitrious also served as a Senior Advisor to former Chair Mary Jo White. Prior to the Commission, Mr. Dimitrious was an associate attorney in the Corporate Group at Fried Frank. Mr. Dimitrious graduated from the University of North Carolina at Chapel Hill and received his J.D., magna cum laude, from the American University Washington College of Law.
Diane Blizzard is an associate director in the SEC’s Division of Investment Management, where she leads a team responsible for developing policy recommendations and rule changes under the federal securities laws affecting investment companies and investment advisers. She rejoined the Commission in 2007 as an attorney fellow in the Office of Regulatory Policy, and later served as senior adviser to former Division Director Buddy Donohue and as managing executive of the Division before assuming her current duties in 2012. From 1995-2002, Diane was associate counsel with ICI Mutual Insurance Company. Before that, she held various positions in the Division including as a staff attorney in the Office of Disclosure and Adviser Regulation; as a member of the special task force that produced the 1992 staff report, Protecting Investors: A Half Century of Investment Company Regulation; and as assistant director of the Office of Regulatory Policy. She began her legal career as an associate at Crowell & Moring.
Diane graduated from Georgetown University Law Center (JD, cum laude) and Duke University (BA, cum laude), and is a member of the Maryland bar.
Dina B. Mishra is a member of the Securities and Exchange Commission’s Appellate Group. She handles appellate litigation for the Commission, primarily by drafting briefs for federal appellate courts and orally arguing before the federal courts of appeals. Her practice includes work in whistleblower cases. She joined the Commission in 2016.
Dina served as a judicial law clerk to Judge Michael Boudin of the United States Court of Appeals for the First Circuit and to Justices John Paul Stevens (retired) and Anthony M. Kennedy of the Supreme Court of the United States. She also worked as an attorney at the U.S. Department of Justice’s Civil Division, Appellate Staff; and in the Appellate & Supreme Court Litigation and Government & Regulatory Litigation practice groups at Wilmer Cutler Pickering Hale and Dorr LLP. In addition, she completed a one-year academic research fellowship at Georgetown University Law Center.
Dina received her J.D. from Yale Law School in 2009, after earlier receiving an A.B. in Economics from Harvard University.
Dr. Jeffrey H. Harris, former Securities and Exchange Commission’s Chief Economist and the Director of the Division of Economic and Risk Analysis. He is currently on leave from the Kogod School of Business at American University in Washington, D.C., where he is the Gary D. Cohn Goldman Sachs Chair in Finance. Dr. Harris has an extensive background in market microstructure and regulatory issues. He previously served as Chief Economist at the Commodity Futures Trading Commission (2007-2010), with prior experience as a Visiting Academic Fellow at the Nasdaq Stock Market (2000-2001) and at the SEC (1999-2000). Prior to joining American University, he held faculty appointments as the Dean’s Chair in Finance at the Whitman School of Management at Syracuse University, as the Collins Chair of Finance in the Cox School of Business at Southern Methodist University (visiting), and at the University of Delaware, the University of Notre Dame, and The Ohio State University.
Dr. Harris’s research has appeared in the Energy Journal, European Financial Management, Financial Management, The Financial Review, the Journal of Finance, the Journal of Investment Management, the Journal of Financial and Quantitative Analysis, the Journal of Financial Economics, the Journal of Futures Markets, the Review of Futures Markets and the Review of Financial Studies.
Dr. Harris holds an undergraduate degree and M.B.A. from the University of Iowa and a Ph.D. in Finance from The Ohio State University.
James M. Daly is an Associate Director (Disclosure Operations) in the Division of Corporation Finance at the U.S. Securities and Exchange Commission. In this position, he is a member of the Division’s senior management with responsibility for policy, operations and strategic decision-making for its full disclosure program. Prior to assuming this position, he served the Division in various capacities examining and supervising the review of disclosure documents in a wide variety of industries related to public sales of securities, periodic reporting, and transactions requiring shareholder approvals under the federal securities laws.
Mr. Daly earned a B.A. from Tulane University and a Masters of Business Administration in Finance from the University of New Orleans.
Keith Cassidy is an Associate Director in the Securities and Exchange Commission’s (SEC) Division of Examinations and the head of Technology Controls Program (TCP). In this role, Mr. Cassidy oversees a staff of technologists and attorneys responsible for conducting examinations of entities subject to Regulation Systems Compliance and Integrity (SCI), and providing technical assistance to the other national exam programs on technology related issues. His staff also administers the SEC’s CyberWatch program, which is the primary intake point for information filed under Regulation SCI and the operations center for incident response.
Before joining Examinations, Mr. Cassidy was the Director of the SEC’s Office of Legislative and Intergovernmental Affairs, where he worked directly for three separate Chairs. Before coming to the Commission in 2010, Mr. Cassidy was Chief of Staff and Counsel at the Department of Justice’s Office of Legislative Affairs. Prior to his time at the Department of Justice, Mr. Cassidy worked in the United States Senate as a legislative assistant.
Mr. Cassidy received his law degree from the George Washington University Law School and his LL.M. in Securities and Financial Regulation from Georgetown Law Center. He holds a bachelor’s degree in History from the University of Virginia and is a Certified Information Systems Security Professional (CISSP).
Mr. Cassidy is also an Infantry Officer in the U.S. Marine Corps Reserve, where he serves as the Training Officer for 4th Reconnaissance Battalion, and has earned numerous awards.
Kevin W. Goodman leads the U.S. Securities and Exchange Commission’s FINRA and Securities Industry Oversight group (“FSIO”), which is responsible for comprehensive oversight of FINRA, including conducting oversight examinations of broker-dealers to assess the quality of FINRA’s examinations, as well as inspecting all areas of FINRA’s operations. FSIO also oversees the MSRB. In addition, Mr. Goodman serves as a member of the Executive and Operating Committees for the SEC’s National Examination Program. Prior to assuming his current role, Mr. Goodman led the SEC’s National Broker-Dealer Examination Program for over three years. Mr. Goodman’s SEC experience also includes having served for six years as Associate Regional Director of the SEC’s Denver Regional Office, where he managed the examination program for the office. Mr. Goodman joined the SEC staff in Los Angeles in 1992 as an Attorney-Adviser, and later served as Branch Chief, Senior Special Counsel, and Assistant Director, all with the Investment Adviser/Investment Company Examination Program. Mr. Goodman graduated from Purdue University in 1982 with a degree in accounting and received his law degree from Indiana University in 1985. Prior to joining the SEC staff, Mr. Goodman practiced corporate and securities law in the private sector with an emphasis on mergers and acquisitions.
Mary Beth Breslin is the Legal Branch Chief in the Office of Healthcare and Insurance in the Division of Corporation Finance at the U.S. Securities and Exchange Commission. Ms. Breslin manages and supervises attorneys engaged in the analysis and review of filings made under the Securities Act of 1933 and the Securities Exchange Act of 1934. Previously, she worked in the Office of Electronics and Machinery and served as Special Counsel in the Office of Chief Counsel, both in the Division of Corporation Finance. Prior to law school, Ms. Breslin was an emerging markets derivatives trading assistant at J.P. Morgan and Merrill Lynch. She received her law degree cum laude from Villanova University School of Law and her B.S.F.S. from the School of Foreign Service at Georgetown University.
Matt McNair is a Senior Special Counsel in the Office of Chief Counsel in the SEC’s Division of Corporation Finance, where he is responsible for providing legal and policy guidance on a wide range of matters involving the federal securities laws. He also specializes in Exchange Act Rule 14a-8 and leads the division’s task force on shareholder proposals. He received his law degree from the University of San Diego School of Law and his B.S. in accounting from Brigham Young University.
Melissa Raminpour is an Accounting Branch Chief in the Division of Corporation Finance at the U.S. Securities and Exchange Commission in the Office of Transportation and Leisure. Melissa’s previous role in the Division included a rotation in the Disclosure Standards Office. She joined the Division as a Staff Accountant in the Office of Information Technologies and Services in 2007. Before joining the Division, Melissa worked as an audit manager in KPMG’s Silicon Valley office. Melissa holds a Bachelor of Science degree in Business Administration with a Concentration in Accounting from California Polytechnic State University - San Luis Obispo, CA.
Michael S. Piwowar was first appointed to the U.S. Securities and Exchange Commission (SEC) by President Barack Obama and was sworn in on August 15, 2013. Dr. Piwowar was designated Acting Chairman of the Commission by President Donald Trump from January 23, 2017, to May 4, 2017.
Previously, Dr. Piwowar was the Republican chief economist for the U.S. Senate Committee on Banking, Housing, and Urban Affairs under Senators Mike Crapo (R-ID) and Richard Shelby (R-AL). He was the lead Republican economist on the four SEC-related titles of the Dodd-Frank Act and the JOBS Act. Dr. Piwowar also worked on a number of important SEC-related oversight issues under the jurisdiction of the Committee, such as securities, over-the-counter derivatives, investor protection, market structure, and capital formation.
During the financial crisis and its immediate aftermath, Dr. Piwowar served in a one-year fixed-term position at the White House as a senior economist at the President’s Council of Economic Advisers (CEA) in both the George W. Bush and Barack Obama Administrations. While at the CEA, Dr. Piwowar also served as a staff economist for the Financial Regulatory Reform Working Group of the President’s Economic Recovery Advisory Board.
Before joining the White House, Dr. Piwowar worked as a Principal at the Securities Litigation and Consulting Group (SLCG). At SLCG, he provided economic consulting to law firms involved in complex securities litigation and technical assistance on market structure, regulatory policy, and risk management issues to domestic and international securities regulators and market participants.
Dr. Piwowar’s first tenure at the SEC was in the Office of Economic Analysis (now called the Division of Economic and Risk Analysis) as a visiting academic scholar on leave from Iowa State University and as a senior financial economist. In those roles, he provided economic analyses and other technical support to the Commission and other SEC Divisions and Offices on a wide range of rulemaking, compliance, and enforcement matters.
Dr. Piwowar was an assistant professor of finance at Iowa State University where he focused his research on market microstructure and taught undergraduate and graduate courses in corporate finance and investments. He published a number of articles in leading academic publications and received several teaching and research awards.
Dr. Piwowar received a B.A. in Foreign Service and International Politics from the Pennsylvania State University, an M.B.A. from Georgetown University, and a Ph.D. in Finance from the Pennsylvania State University.
Narahari Phatak is Associate Director for Policy in the Division of Economics and Risk Analysis of the Securities and Exchange Commission. Dr. Phatak received his Ph.D. in Financial Economics from the University of California – Berkeley, Haas School of Business, and B.S. in Economics and a B.A. in International Studies and Russian, summa cum laude, from the University of Pennsylvania. Prior to his doctoral work, Dr. Phatak worked as an Investment Associate at Putnam Investment for three years.
Paul Atkins founded Patomak Global Partners, LLC in 2009 and serves as the chief executive officer.
At Patomak, Mr. Atkins leads client work for financial services firms regarding an array of issues, including regulatory requirements, investigating and improving the effectiveness of compliance systems, and designing and implementing compliance policies and procedures. Mr. Atkins regularly serves as an independent compliance consultant and a court-appointed monitor in federal settlements. His expert witness engagements include federal, state, and foreign litigation, as well as SEC matters.
Since 2017, Mr. Atkins has led industry efforts to develop best practices for digital asset issuances and trading platforms as co-chair of the Token Alliance, an initiative of the Chamber of Digital Commerce. In 2017, Mr. Atkins served as a member of the President’s Strategic and Policy Forum advising on financial markets regulation and economic policy, and he led the President-elect’s transition team for independent financial regulatory agencies.
Prior to founding Patomak, Mr. Atkins served as a Commissioner of the U.S. Securities and Exchange Commission, 2002-2008. From 2009 to 2010, he was appointed by Congress to serve as a member of the Congressional Oversight Panel for the Troubled Asset Relief Program (TARP). He started his public service work in 1990, serving on the staffs of SEC chairmen Richard C. Breeden and Arthur Levitt as chief of staff and counsellor, respectively, until 1994.
In private practice, Mr. Atkins was a partner of PricewaterhouseCoopers and predecessor firm Coopers & Lybrand. Mr. Atkins began his career as a lawyer with Davis Polk & Wardwell in New York.
Mr. Atkins received his A.B., summa cum laude, Phi Beta Kappa, from Wofford College and his J.D. from Vanderbilt University School of Law.
Rachel McKenzie is a Senior Litigation Counsel in the Office of the General Counsel at the Securities and Exchange Commission. Rachel has served as a member of the Office’s Appellate Group since December 2016. Prior to joining the Commission, she was an Assistant General Counsel at Verizon Communications Inc., where she focused on regulatory affairs.
Rachel graduated from the University of Virginia School of Law (2005), where she was Order of the Coif and a member of the Virginia Law Review. She has practiced in the appellate litigation groups at Baker Botts LLP and Orrick, Herrington, and Sutcliffe LLP, and clerked for Judge Jerry E. Smith of the United States Court of Appeals for the Fifth Circuit.
Richard Breeden graduated with honors from Stanford University in 1972 and from the Harvard Law School in 1975.
After beginning his career practicing securities law and handling mergers and acquisitions in New York City, Mr. Breeden served in a series of government positions from 1981-1993 under Presidents Ronald Reagan, George H.W. Bush (41) and William Clinton.
Mr. Breeden worked in the White House for four years under Presidents Ronald Reagan and George H.W. Bush. During the Reagan Presidency, Mr. Breeden served as Deputy Counsel to then-Vice President George H.W. Bush and staff director of a cabinet-level group attempting to restructure federal banking regulation. Later, during the first year of the Bush Presidency, he served as Assistant to the President for Issues Analysis and co-head of Domestic Policy. In this capacity, Mr. Breeden was largely responsible for developing and winning Congressional enactment of the President’s program to create the Resolution Trust Corporation and restructure the U.S. savings and loan industry. He also helped coordinate the response to the Exxon Valdez oil spill and other long-term issues.
In late 1989, President Bush nominated Breeden to serve as the 24th Chairman of the Securities and Exchange Commission, where he served for nearly four years following unanimous Senate confirmation. As Chairman, he was a strong advocate of investor interests and of strengthening the SEC as an institution . Among other things, he achieved legislation authorizing stronger enforcement remedies, and he won significantly greater budgetary resources for both personnel and technology. At the same time, he sought to eliminate outmoded or ineffective regulations to promote increased economic growth and lower costs of raising capital. These steps included creating the Rule 144A market, licensing the first ETFs and authorizing many of the early electronic trading systems, along with reducing accounting and disclosure requirements for smaller businesses. Chairman Breeden launched the “Red Book” study of the Investment Company Act to chart a course for modernization of the Act, and took many other steps to help strengthen market stability and efficiency. For example, Chairman Breeden proposed eliminating artificial restrictions on the number of investors in hedge funds, overhauled SEC proxy rules, promoted greater transparency in many areas of corporate reporting and instituted the first market circuit breakers and T+3 settlement. He was also the first SEC Chairman to focus the Commission on globalization, and achieved hundreds of first time foreign listings in U.S. markets.
Since leaving the SEC in 1993, Mr. Breeden has served as a consultant to large and small businesses on a wide range of topics. In addition, he has handled a series of corporate bankruptcies and restructurings on behalf of various federal courts, the SEC or the U.S. Department of Justice. These assignments included serving as corporate monitor of WorldCom, Inc. for the U.S. District Court in Manhattan following one of history’s largest accounting frauds. He was also corporate monitor of the accounting firm KPMG LLC under its deferred prosecution agreement with the U.S. Department of Justice relating to promotion of fraudulent tax shelters. Through a claims administration firm that he owns, Mr. Breeden has also assisted the SEC and the DOJ on numerous occasions by administering financial recovery funds. He is currently distributing over $4 billion to approximately 40,000 global victims of the Madoff fraud on behalf of the Justice Department. By the end of the Madoff case Mr. Breeden and his firm will have returned well over $8 billion to more than 1.5 million victims of financial fraud.
In 2005, Mr. Breeden launched a series of equity investment funds focused on taking concentrated investment stakes in underperforming midcap companies and supporting steps necessary to generate improved shareholder value. After several years with assets under management of up to $1.6 billion, in 2013 Mr. Breeden closed his funds to outside investors but continues to manage a proprietary investment portfolio.
Mr. Breeden serves as chairman of the nominating and governance committee of the board of STERIS plc, a UK-domiciled medical device manufacturer focused on improving the safety, sterility and efficacy of hospital procedures around the world. He is also a Trustee of the George H.W. Bush Presidential Library Foundation and a member of the Standing Advisory Group of the Public Company Audit Oversight Board (PCAOB). During his years since leaving the SEC, Mr. Breeden has served as an outside director of more than 15 companies in the U.S., the U.K., Spain and Germany. In 2016, he was awarded the William O. Douglas award by the Association of SEC Alumni for lifetime achievements for investors.
Mr. Breeden and his wife Linda live in Greenwich, Connecticut.
Robert Telewicz is an Accounting Branch Chief in the Office of Real Estate and Commodities within the Division of Corporation Finance. His responsibilities at the SEC include reviewing 1933 and 1934 Act filings submitted by companies in the Real Estate and Commodities industries. Mr. Telewicz has also spent time as a rotator in the Division’s Disclosure Standards Office. Prior to joining the staff of the SEC in 2004, Mr. Telewicz was a Senior Corporate Accountant at the Rouse Company and he began his career with KPMG LLP.
Mr. Telewicz received his B.B.A. in Accounting and from Loyola University, Maryland.
Sarah R. Prins is an attorney in the Office of the General Counsel at the Securities and Exchange Commission. Sarah has served as a member of the Office’s Appellate Group since March 2015. She joined the Commission’s staff from Robbins Russell in Washington, D.C., where she was an associate.
Sarah graduated from Duke University in 2009, where she was an Executive Editor of the Duke Law Journal. After graduating, she clerked for Judge E. Grady Jolly of the United States Court of Appeals for the Fifth Circuit.
Stephen G. Yoder is Senior Litigation Counsel at the Securities and Exchange Commission, a position that he has held since July 2015. In that position, Mr. Yoder handles appellate litigation for the Appellate Litigation and Bankruptcy Group, with emphases in accounting cases and whistleblower cases. He came to the Commission in 2001 and served in the Division of Enforcement until 2011, when he joined the Appellate Group.
Mr. Yoder graduated in 1998 from Yale Law School. He clerked for Judge Sidney H. Stein of the United States District Court for the Southern District of New York and for Judge Richard J. Cardamone of the United States Court of Appeals for the Second Circuit.
Valerie Dahiya is the Branch Chief for the Regulation SHO Branch within the Division of Trading and Market’s Office of Trading Practices. The Regulation SHO Branch is responsible for administering the Commission’s short selling rules, in addition to Rules 10b-17, 15c2-11, 15c2-7, and Sections 12(j) and 12(k) of the Exchange Act. Before becoming Branch Chief, Valerie joined Trading Practices in November of 2012 after having served as a Senior Counsel in the Office of Compliance Inspections and Examinations, where she led broker-dealer examinations. She’s the recipient of the SEC’s Law and Policy Award and the Chairman’s Award for Excellence and the SEC’s Shannon D. Ayers Examination Award of Excellence. Prior to joining the Commission, Valerie worked for FINRA in Market Regulation.
Vanessa A. Countryman is Chief Counsel in the SEC’s Division of Economic and Risk Analysis, the Division tasked with providing economic analysis and data analytics to support the mission of the Commission. In that role, Ms. Countryman coordinates the integration of the Division’s economic analyses into Commission rulemakings and other Commission action, collaborating with staff from divisions and offices across the agency. Ms. Countryman also provides guidance and counsel to the Chief Economist and other division staff regarding legal issues implicated by the Division’s broad mandate. From July 2010 through February 2012, she was Counsel to Commissioners Kathleen L. Casey and then Daniel M. Gallagher, focusing on issues relevant to the Division of Investment Management. Prior to joining the Commission, she worked at the law firm Gibson Dunn & Crutcher LLP, where she participated in a variety of litigation matters before the U.S. Supreme Court and federal appellate and trial courts, including challenges to federal regulations. From 2005 to 2006, Ms. Countryman served as a law clerk to the Honorable Emilio M. Garza on the U.S. Court of Appeals for the Fifth Circuit, in San Antonio, Texas. She attended law school at the University of Chicago, after receiving an M.Phil. in Victorian Literature from Oxford University. She graduated with a B.A. in English from Columbia University.
Daniel S. Kahl is Deputy Director and Chief Counsel for the Office of Compliance Inspections and Examinations, U.S. Securities and Exchange Commission. Formerly, Mr. Kahl was Assistant Director in charge of the Investment Adviser Regulation Office in the Division of Investment Management at the SEC. Prior to joining the Commission in 2001, Dan worked for the Investment Adviser Association, FINRA, and the North American Securities Administrators Association. He received his B.S. from Penn State University, J.D. from Southern Methodist University, and LL.M. (Securities) from Georgetown University
Giulio is a Senior Financial Economist at the Securities and Exchange Commission, currently serving as the SEC representative to the Financial Stability Board (FSB) Analytical Group on Vulnerabilities (AGV). In this capacity, Giulio has participated to several initiatives dedicated to designing and implementing the FSB surveillance framework and assessing risks to the global financial system. In the past, his work at the SEC has involved developing analytical tools to identify risks or securities law violations and to assist the Commission in efficiently allocating resources by prioritizing inspections on registrants with higher risk of deficiencies and fraud. Giulio has worked on risk assessment initiatives in the Broker-Dealers and Investment Companies space and served as point of contact of DERA’s Office of Risk Assessment with Enforcement’s Complex Financial Instrument unit. Giulio holds a Ph.D. in Economics; he has published articles in the Journal of Financial Economics and other peer-reviewed journals. He was awarded the Graham-Dodd Award of excellence in research and financial writing for best paper in the Financial Analyst Journal in 2016.
Jan is the Legal Branch Chief in the Division of Corporation Finance where she manages and supervises attorneys engaged in the analysis and review of filings by technology companies made under the Securities Act of 1933 and the Securities Exchange Act of 1934. Previously, she worked in the Disclosure Standards Office in the Division of Corporation Finance and served as a Special Counsel in the Division of Trading and Markets. Prior to joining the Commission, Jan was in private practice in New York. She received her law degree from the Georgetown University Law Center, her M.P.A from New York University, and her B.A. from Barnard College.
Raymond is the Assistant Director in the Office of Financial Responsibility (OFR) in the Division of Trading & Markets. His daily responsibilities focus on administering the Commission’s net capital, customer protection, notification, and recordkeeping and reporting rules governing broker-dealers. He is a staff representative on the Financial Stability Board Cross Border Crisis Management Group and serves as liaison for coordination with the U.S. banking regulators on matters such as resolution planning, information sharing, and other initiatives impacting broker-dealers. He joined the Commission staff in 2004 in the Office of Market Supervision within the Division of Trading & Markets where he worked on equity market structure matters such as Regulation NMS. He has also served as a Senior Counsel with the Commission’s Office of General Counsel where he provided the Commission with legal advice with respect to numerous rulemakings and enforcement matters. He is a graduate of Fordham University School of Law and Fordham College.
Since 1994, Mr. McGowan has worked in the Office of Broker-Dealer Finances at the Commission. Areas of responsibility include the broker-dealer net capital rule, the customer protection rule, and recordkeeping and reporting requirements.
Prior to working at the Commission, Mr. McGowan worked as an attorney with McGuire, Woods, Battle & Boothe.
University of Virginia School of Law
Virginia Polytechnic Institute and State University
B.S. Economics 1984
Magna Cum Laude
Tim is a senior financial analyst in the Division of Investment Management’s Analytics Office, where he focuses on analysis of investment advisers, private funds, and exchange traded funds. He conducts analysis of public and nonpublic data to provide insight to policymakers within the Division and across the Commission.
Tim received his PhD in Physics from the California Institute of Technology in 2011 as a National Science Foundation graduate research fellow and graduated from the University of Maryland with a BS in Mathematics and a BS in Physics in 2006. Prior to joining the SEC in 2014, Tim conducted analysis of complex financial products and strategies as a senior financial economist at the Securities Litigation and Consulting Group.