Ranking tables
Financial Services Regulation: Broker Dealer (Enforcement) | USA
USA - Nationwide
Rankings overview for Lawyers
Band 1
Band 2
- Ben Indek Morgan, Lewis & Bockius LLP17 Years Ranked
- Brian L Rubin Eversheds Sutherland (US) LLP8 Years Ranked
- Cheryl L Haas McGuireWoods LLP3 Years Ranked
- David Wishengrad Cahill Gordon & Reindel LLP3 Years Ranked
- Elizabeth Hogan McGuireWoods LLP2 Years Ranked
- Elizabeth P Gray Willkie Farr & Gallagher LLP15 Years Ranked
- Emily Gordy King & Spalding LLP2 Years Ranked
- Susan Schroeder WilmerHale1 Years Ranked
- Wayne Aaron Katten13 Years Ranked
All Lawyers profiles
Band 1
1 Elizabeth MitchellWilmerHale | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 1 | 7 Years RankedElizabeth Mitchell is experienced in advising broker-dealers on investigations and enforcement proceedings brought by financial regulators, including FINRA and the SEC.1 W Hardy CallcottSidley Austin LLP | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 1 | 17 Years RankedHardy Callcott stands out for his market-leading counsel to leading US broker-dealers on the full range of compliance requirements. He is equally accomplished at steering clients through major enforcement actions initiated by state and federal regulators.
Band 2
2 Ben IndekMorgan, Lewis & Bockius LLP | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 2 | 17 Years RankedBen Indek is an expert in broker-dealer regulatory matters and is highly experienced at guiding clients through high-stakes investigations, examinations and enforcement proceedings.2 Brian L RubinEversheds Sutherland (US) LLP | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 2 | 8 Years RankedBrian Rubin routinely represents broker-dealers and other financial institutions in connection with challenging regulatory, enforcement and administrative actions.2 Cheryl L HaasMcGuireWoods LLP | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 2 | 3 Years Ranked"Cheryl is effective working with a range of regulators and is very familiar with the wider regulatory landscape."2 David WishengradCahill Gordon & Reindel LLP | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 2 | 3 Years RankedDavid Wishengrad focuses his practice on broker-dealer regulatory matters. He is often sought out by banks to advise on compliance matters, including issues with cross-border elements. He is also experienced in providing counsel on SEC investigations.2 Elizabeth HoganMcGuireWoods LLP | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 2 | 2 Years RankedElizabeth Hogan is the cochair of the firm's securities enforcement and regulatory counseling group. As the former senior vice president and leader of Market Regulation Enforcement at the Financial Industry Regulatory Authority, she is well placed to advise broker-dealers on enforcement matters.2 Elizabeth P GrayWillkie Farr & Gallagher LLP | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 2 | 15 Years RankedElizabeth Gray concentrates her practice on the representation of securities market participants in high-stakes enforcement matters, including SEC and CFTC investigations.2 Emily GordyKing & Spalding LLP | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 2 | 2 Years RankedEmily Gordy of King & Spalding LLP has previous experience at the SEC and FINRA, making her particularly well placed to handle a wide range of enforcement matters affecting broker-dealer clients.2 Susan SchroederWilmerHale | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 2 | 1 Years Ranked"She is extremely knowledgable and her past experience at FINRA is important because she gets the regulatory mindset and can predict regulators' responses. She is also great in her business mindset, giving practical advice which balances the needs of the business."2 Wayne AaronKatten | Financial Services Regulation: Broker Dealer (Enforcement)2024 | Band 2 | 13 Years RankedClients rely on Wayne Aaron for representation during high-stakes enforcement proceedings and regulatory investigations. He routinely advises broker-dealers on the best response to actions initiated by the SEC and FINRA.