Jamie Brigagliano is a partner and co-leader of the Securities & Derivatives Enforcement and Regulatory group. He advises broker-dealers, hedge funds, and other financial services firms on a broad variety of regulatory, enforcement, compliance, and transactional matters. Jamie focuses his practice in particular on SEC and SRO rules governing trading by broker-dealers and hedge funds, and broker-dealer registration and conduct rules.
Former Co-Acting Director, Deputy Director, Associate Director, SEC’s Division of Trading and Markets.
Georgetown University Law Center, J.D., 1982; Amherst College, B.A., 1979, cum laude.