SEC enforcement and regulatory matters, internal investigations, corporate governance. Clients include Goldman Sachs, Bank of America, Virtu, SIFMA, and major corporations, auditors, and boards of directors.
Member of the DC Bar; Member (Chairman 2006-10) of Executive Council of the Federal Bar Association Securities Law Committee; Former Co-Chair of the ABA Presidential Task Force on Financial Markets Regulatory Reform.
Joined firm, 1982; became partner, 1991. General Counsel of the United States Securities and Exchange Commission, 2002-06. JD, magna cum laude, Harvard Law School (1982); AB, magna cum laude, Harvard College (1979).