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As co-chair of the Securities Department, Brandon Becker's practice focuses on advising broker-dealers and other financial market participants regarding various transactional and regulatory matters, as well as the development of new financial products and trading systems.
From 1978 to 1996, Mr. Becker was a lawyer at the Securities and Exchange Commission where he served as Director of the SEC's Division of Market Regulation and was responsible for the SEC’s program to oversee securities professionals and markets. In addition, he served as a staff member of the President’s Working Group on Financial Markets; as a member of the Financial Products Advisory Committee of the Commodity Futures Trading Commission; and the SEC's representative to the Secondary Markets Working Party of the International Organization of Securities Commissions.
Practice
Mr. Becker has advised a wide range of clients including corporations, banks, broker-dealers, hedge funds, trading markets and trade associations. His work covers the entire range of securities regulation. He has advised broker-dealers on the various regulatory issues raised by the purchase and sale of broker dealers as well as investments in new trading systems and markets. In addition, he has advised broker-dealers and hedge funds about various compliance matters (e.g., the regulatory characterization of various swap transactions; order handling procedures; and trade booking techniques for intermediaries with a global business). In addition, he has represented broker-dealers in various enforcement-related inquiries by self-regulatory organizations and the SEC.
Professional Activities
Mr. Becker is a member and former Chair of the Subcommittee on Market Regulation of the Federal Regulation of Securities Committee of the American Bar Association Section of Business Law. He also is a member of the board of advisers of the Center for the Study of Securities Markets, and he serves on the editorial advisory boards for International Finance, BNA Securities Regulation and Law Report, Journal of Investment Compliance, and wallstreetlawyer.com. He has taught various courses regarding corporate law and securities regulation at American University, George Mason University and Georgetown University and has published widely on securities regulation topics.
Honors and Awards
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