Licensed since 2000
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|Special Counsel||United States Securities and Exchange Commission, Division of Investment Management||1998 - 1999|
|Branch Chief||United States Securities and Exchange Commission, Division of Investment Management||1997 - 1998|
|Attorney Advisor||United States Securities and Exchange Commission, Division of Investment Management||1994 - Present|
|Investment Management Commentary||SEC Adopts Rules Relaxing Affiliated Transaction Restrictions for Multi-Manager Funds,||2003|
|Catholic University of America, School of Law||N/A||JD||1994|
|Boston College||N/A||BA - Bachelor of Arts||1991|
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