FacultyFaculty/Author Profile
Barbara A. Stettner

Barbara A. Stettner

Allen & Overy LLP
Partner
Washington, DC, USA


Barbara's practice focuses on advising U.S. and foreign financial institutions on their regulatory and compliance obligations under the Securities Exchange Act of 1934, the Investment Advisers Act of 1940 and the Bank Secrecy Act. Barbara represents foreign and domestic banks, asset managers and broker-dealers on various regulatory aspects of Dodd-Frank, including Volcker and those provisions involving municipal advisors, investment advisers, and securities-based swap dealers. Barbara's practice also focuses on the regulatory obligations of domestic and cross-border fund raising activities including broker-dealer, finder and placement agent status questions, sales practice requirements and the federal and state pay-to-play, ethics and lobbying regulations.

Before entering private practice, she worked at the SEC's Division of Market Regulation (now Trading and Markets), where she served as Special Counsel in the Office of the Chief Counsel and as an Attorney-Advisor in the Office of Risk Management and Control. She also served as Senior Counsel in the Commission's Office of International Affairs. Prior to joining the firm, Barbara practiced at prominent law firms in Washington, D.C. and London. As part of the Financial Services Volunteer Corp, she regularly provides pro bono technical assistance to emerging markets on the regulatory and supervisory systems of markets and market intermediaries, including Jordan, the UAE, Russia, and Romania.

 Career History

  Partner, Allen & Overy LLP, Washington, D.C., 2011
  Partner, O'Melveny & Myers LLP, Washington, D.C., 2003-2011
  Counsel, Orrick, Herrington & Sutcliffe LLP, 2000-2003 

 Legal Qualifications

  Admitted to the Bar, District of Columbia, 1997
  Admitted to the Bar, State of California, 1995 

 Academic Qualifications

  LL.M., London School of Economics and Political Science, 1995
  J.D., Pepperdine University, 1994
  M.B.A. in Finance and Economics, Pepperdine University, 1993
  B.A, University of California, 1989

Barbara A. Stettner is associated with the following items:
CHB Chapters  CHB Chapters Hedge Fund Investor Relations: Challenges and Opportunities - Hedge Fund Registration and Compliance 2012 , Tuesday, January 31, 2012
Cross-Border Sales of Private Fund Interests--Outline of Regulatory Considerations Beyond Regulation D and Other Private Placement Exemptions - Global Capital Markets & the U.S. Securities Laws 2012: Raising Capital in an Evolving Regulatory Environment , Wednesday, April 25, 2012
Trading and Brokerage Issues: Navigating the Maze of State Placement Agent Regulations - Hedge Fund Compliance & Regulation 2013 , Tuesday, January 29, 2013
Audio CD  Audio CD Hedge Fund Registration and Compliance 2012 , Tuesday, February 28, 2012 , New York, NY
Global Capital Markets & the U.S. Securities Laws 2012: Raising Capital in an Evolving Regulatory Environment , Wednesday, May 23, 2012 , New York, NY
DVD Video  DVD Video Hedge Fund Registration adn Compliance 2012 , Tuesday, March 13, 2012 , New York, NY
Global Capital Markets & the U.S. Securities Laws 2012: Raising Capital in an Evolving Regulatory Environment , Wednesday, June 06, 2012 , New York, NY
Web Segment  Web Segment Trading and Brokerage Issues - Hedge Fund Compliance & Regulation 2013 , Monday, February 04, 2013
MP3 Audio  MP3 Audio Hedge Fund Compliance & Regulation 2013: Trading and Brokerage Issues - Trading and Brokerage Issues , Tuesday, February 05, 2013
MP4 - Mobile Video Seg  MP4 - Mobile Video Seg Hedge Fund Compliance & Regulation 2013: Trading and Brokerage Issues - Trading and Brokerage Issues , Tuesday, February 05, 2013
On-Demand Web Programs  On-Demand Web Programs Hedge Fund Compliance & Regulation 2013 , Tuesday, February 12, 2013 , New York, NY
Live Seminar  Live Seminar Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment , Wednesday, June 05, 2013 , New York, NY
Hedge Fund Compliance & Regulation 2013 , Tuesday, January 29, 2013 , New York, NY
Live Webcast  Live Webcast Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment , Wednesday, June 05, 2013 , New York, NY
PLI Grpcast-Live Web  PLI Grpcast-Live Web Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment , Wednesday, June 05, 2013 , Boston, MA
Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment , Wednesday, June 05, 2013 , Mechanicsburg, PA
Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment , Wednesday, June 05, 2013 , Pittsburgh, PA
Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment , Wednesday, June 05, 2013 , Columbus, OH
Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment , Wednesday, June 05, 2013 , New Brunswick , NJ
Global Capital Markets & the U.S. Securities Laws 2013: Raising Capital in an Evolving Regulatory Environment , Wednesday, June 05, 2013 , Philadelphia, PA
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