Securities: Regulation: Advisory (Band 2)
Practice Areas: Co-chair of the Securities Regulation and Corporate Governance practice, she advises on securities law disclosure and regulatory issues and corporate governance matters, including representing board committees.
Professional Memberships: President, Association of SEC Alumni; former chair ABA Committee on Director & Officer Liability and Subcommittee on Shareholder & Investor Relations.
Career: Former Associate Director and Chief of the Office of Disclosure Policy SEC Division of Corporation Finance, Legal Assistant and Special Counsel to SEC Chairman Harold Williams.
Publications: Editor-in-Chief of INSIGHTS and numerous treatises; frequent speaker.
Personal: J.D., cum laude, Boston University Law School; LL.M., Georgetown University Law Center.