Elizabeth P Gray
USA Guide 2024
Financial Services Regulation: Broker Dealer (Enforcement) + 1 more ranking
Band 2
Band 3
About
Provided by Elizabeth P Gray
Practice Areas
Elizabeth Gray is senior counsel in Willkie’s Litigation Department and Co-Chair of the Securities Enforcement Practice Group. Ms. Gray represents investment advisers, investment companies and their boards, accounting firms, broker-dealers, self-regulatory organizations, public companies, and senior executives facing examination, investigation, and litigation by financial regulators, including the SEC, CFTC, PCAOB, DOJ, and FINRA. She counsels clients on federal securities law matters, including cybersecurity regulations, compliance and breaches, investment adviser and company compliance, insider trading, self-regulatory organization and clearing fund compliance, accounting, auditing irregularities, market manipulation, and FCPA.
Personal
JD, University of Virginia School of Law; AB, Dartmouth College.
See: http://www.willkie.com/professionals/g/gray-elizabeth-p
Chambers Review
USA
Elizabeth Gray concentrates her practice on the representation of securities market participants in high-stakes enforcement matters, including SEC and CFTC investigations.
Elizabeth Gray wins plaudits from clients for her work in enforcement matters before the SEC, CFTC and other bodies. She acts for leading broker-dealers, investment advisers and funds.
Strengths
Provided by Chambers
"Elizabeth isa senior attorney who brings value for the client and is dedicated to getting the best result possible."
"Elizabeth has deep experience in the broker-dealer industry and is a highly respected advisor."
"Elizabeth Gray is spectacular."
"Elizabeth isa senior attorney who brings value for the client and is dedicated to getting the best result possible."
"Elizabeth has deep experience in the broker-dealer industry and is a highly respected advisor."
"Elizabeth Gray is spectacular."