Ranked in 1 Practice Areas

About

Provided by John V Ayanian

USA

Practice Areas

John V. Ayanian is co-chair of McGuireWoods’ Securities Enforcement & Regulatory Counseling practice group. He has substantial experience advising broker-dealers, including retail, institutional, and clearing broker-dealers on a wide range of regulatory and compliance obligations under the Securities Exchange Act of 1934 and SEC, FINRA, and MSRB rules impacting their respective businesses. He regularly advises clients on broker-dealer status issues, Regulation Best Interest, Form CRS, conflicts of interest, disclosures, advertising, the distribution of investment products and investment research, trading issues, best execution obligations, and SEC and FINRA registration issues, and digital engagement practices. John also has significant experience on issues involving broker-dealers’ obligations under net capital and customer protection rules, market structure, regulatory matters involving mergers and acquisition transactions, as well as issues involving the use of money market and bank deposit sweep programs.

Prior to joining McGuireWoods, John served as the co-chair of a national law firm’s financial services industry initiative, the practice leader for the firm's broker-dealer regulatory practice, as well as the Washington, D.C. office managing partner. He was vice president and assistant general counsel with a national bank holding company, where he worked with its broker-dealer subsidiaries. He also served as a staff attorney and Special Counsel in the SEC’s Division of Market Regulation, Office of Market Supervision, where he was responsible for the regulation of trading and markets.

Chambers Review

Provided by Chambers

USA

Financial Services Regulation: Broker Dealer (Compliance) - USA - Nationwide
3
Band 3

John Ayanian is a noted attorney, well regarded for his broad-ranging capabilities on broker-dealer compliance matters. He is routinely called upon to provide counsel on issues relating to SEC and FINRA rules.

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