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No professional misconduct found.
Overview
Practice Areas
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100% Securities / Investment Fraud
7 years, 3 cases
This attorney is not accepting clients.
Reason: Government Attorney
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Contact Information
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References
Client Reviews
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Résumé
License
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11 years since David D. Smyth was first licensed to practice law.
| State |
License status |
Year acquired |
Last updated by Avvo |
| North Carolina |
Authorized to practice law
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2000 |
05/22/2008 |
| Dist. of Columbia |
Active
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2002 |
09/08/2009 |
We have not found any instances of professional misconduct for this lawyer.
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Work Experience
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| Position |
Duration |
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Assistant Director at
U.S. Securities and Exchange Commission
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2010–present
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Senior Counsel at
U.S. Securities and Exchange Commission
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2005–2010
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Associate at
Steptoe & Johnson LLP
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2001–2005
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Law clerk at
the U.S. Court of Appeals for the Sixth Circuit for Chief Judge Boyce Martin
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2000–2001
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See all 4 job entries
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Education
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| School |
Major |
Degree |
Graduated |
| University of North Carolina School of Law |
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J.D. |
2000 |
| Davidson College |
English |
A.B. |
1992 |
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Awards
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| Award Name |
Granting Organization |
Date |
| Enforcement Division Director's Award |
U.S. Securities and Exchange Commission |
2006 |
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Portfolio
Publications
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| Article |
Publication |
Date |
| A New Framework for Analyzing Gag Orders on Trial Witnesses |
Baylor Law Review |
2004 |
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Speaking Engagements
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| Presentation Name |
Conference |
Date |
| Internet-based Securities Fraud |
U.S. Postal Inspectors New York Fraud Teams Training |
2007 |
| Online Brokerage Account Intrusions and Manipulations |
NYSE Market Surveillance Staff Conference |
2007 |
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