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Events
The Financial Services Regulatory Revolution: Navigating the New World of Broker-Dealer and Investment Adviser Regulation
September 23, 2011
BDC Quick Call: Recent Accounting and Regulatory Developments on Advisory Fees and Financing Transactions
March 3, 2011
Fiduciary Duty Forum
July 28, 2010
Webinar – Real Estate Funds and Alternative Investments: Impact of Recent FINRA Developments
March 25, 2010
October 8-9, 2009
The Federal Regulation of Insurance
June 25, 2009
2009 Association of Life Insurance Counsel Annual Meeting
May 3-5, 2009
Securities Industry and Financial Markets Association (SIFMA) Compliance & Legal Division 2009 Annual Seminar
March 22-25, 2009
Sutherland Securities Symposium
October 30, 2008
Independent Broker-Dealer Regulatory Forum
April 16, 2008
SIFMA Compliance & Legal Division 2008 Annual Seminar
March 31-April 2, 2008
SIFMA Compliance & Legal Division 2007 Annual Seminar
March 25-28, 2007
SIA-CL Annual Seminar
Sunday, March 25 - Wednesday, March 28, 2007
Distributing Separately Managed Accounts Through the Bank Channel: A Guide for Managed Accounts Managers
June 28, 2006
© 2013 Sutherland Asbill & Brennan LLP
J.D., Vanderbilt University Law School, 1991, Associate Editor, Vanderbilt Law Review; Order of the Coif
B.S., Brown University, 1986
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