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Edward F. Greene

Edward F. Greene

Cleary Gottlieb Steen & Hamilton LLP

New York, NY, USA


Edward F. Greene is a senior counsel based in the New York office.

Mr. Greene's practice focuses on securities, corporate governance, regulatory and financial services reform and other corporate law matters.

Mr. Greene served as General Counsel of the Securities and Exchange Commission from 1981 to 1982 and Director of the Division of Corporation Finance from 1979 to 1981. From 2004 to 2008, Mr. Greene served as General Counsel of Citigroup's Institutional Clients Group. He oversaw all legal aspects related to the group's activities with issuers and investors worldwide, including investment banking, corporate lending, derivatives, sales and trading, and transaction services. He served as Chairman of the Institutional Clients Group Business Practices Committee in connection with his responsibility for regulatory and transactional matters.

Mr. Greene is the author of a number of leading books and law review articles, including U.S. Regulation of the International Securities and Derivatives Markets and The Sarbanes-Oxley Act: Analysis and Practice, both of which were co-authored with several partners at Cleary Gottlieb and are widely used as essential sources of practical advice. Mr. Greene has been recognized as one of the best capital markets lawyers by Chambers Global.

Mr. Greene originally joined the firm in 1982 and returned in 2009. During his more than 20 year tenure at Cleary Gottlieb, Mr. Greene was a resident in the firm's Washington, Tokyo and London offices, and was the first licensed foreign lawyer to be admitted to practice law in Japan in 1987.

Mr. Greene received an LL.B. degree from Harvard Law School in 1966 and an undergraduate degree from Amherst College in 1963. Mr. Greene is currently teaching a seminar at Columbia Law School and has been a Lecturer at the Harvard Law School, and an Adjunct Professor of Law at the University of Pennsylvania and Georgetown University Law Center. He was appointed to the Nomura Chair of International Securities Regulation (a part-time position) by the law faculty of the University of Tokyo for the 1989-1990 academic year, was Chairman of the Legal Advisory Board of the New York Stock Exchange from 1995 until 2001, continuing as a member ex officio, and was a member of the SEC's Advisory Committee on Capital Formation and Regulatory Processes. Mr. Greene is on the Board of Advisors of the Capital Markets Law Journal, published by Oxford University Press, a Trustee of Practicing Law Institute (PLI) and is on the Board of Lawyers Alliance for New York (LANY provides pro bono legal services in conjunction with participating law firms to nonprofit entities in New York city).

Mr. Greene is a member of the Bar in New York.

Edward F. Greene is associated with the following items:
CHB Chapters  CHB Chapters FSOC Poised to Begin Nonbank SIFI Designations Following Release of Final Rule - Institute on Securities Regulation in Europe (Twelfth Annual): Overcoming Deal-Making Challenges in the Current Markets , Thursday, January 31, 2013
European Commission: Green Paper--Shadow Banking - Institute on Securities Regulation in Europe (Twelfth Annual): Overcoming Deal-Making Challenges in the Current Markets , Thursday, January 31, 2013
Policy Recommendations for Money Market Funds--Final Report From the OICU-IOSCO - Institute on Securities Regulation in Europe (Twelfth Annual): Overcoming Deal-Making Challenges in the Current Markets , Thursday, January 31, 2013
Strengthening the Oversight and Regulation of Shadow Banking: Progress Report to G20 Ministers and Governors - Institute on Securities Regulation in Europe (Twelfth Annual): Overcoming Deal-Making Challenges in the Current Markets , Thursday, January 31, 2013
"Shadow Banking": A Forward-Looking Framework for Effective Policy - Institute on Securities Regulation in Europe (Twelfth Annual): Overcoming Deal-Making Challenges in the Current Markets , Thursday, January 31, 2013
Web Segment  Web Segment Regulatory Developments & the Market Response - Institute on Securities Regulation in Europe 2013 (Twelfth Annual): Overcoming Deal-Making Challenges in the Current Markets , Thursday, February 07, 2013
Regulatory Overview and Update - First Annual Institute on Corporate & Securities Law in Hong Kong 2013 , Monday, April 22, 2013
Ethics: Hypothetical Scenarios - First Annual Institute on Corporate & Securities Law in Hong Kong 2013 , Monday, April 22, 2013
Transcripts  Transcripts Regulatory Developments & the Market Response - Regulatory Developments & the Market Response , Thursday, February 07, 2013
MP3 Audio  MP3 Audio Twelfth Annual Institute on Securities Regulation in Europe: Overcoming Deal-Making Challenges in the Current Markets - Regulatory Developments & the Market Response - Regulatory Developments & the Market Response , Tuesday, February 12, 2013
First Annual Institute on Corporate & Securities Law in Hong Kong 2013 - Ethics: Hypothetical Scenarios - Ethics: Hypothetical Scenarios , Tuesday, April 30, 2013
First Annual Institute on Corporate & Securities Law in Hong Kong 2013: Regulatory Overview and Update - Regulatory Overview and Update , Tuesday, April 30, 2013
MP4 - Mobile Video Seg  MP4 - Mobile Video Seg Twelfth Annual Institute on Securities Regulation in Europe: Overcoming Deal-Making Challenges in the Current Markets - Regulatory Developments & the Market Response - Regulatory Developments & the Market Response , Tuesday, February 12, 2013
First Annual Institute on Corporate & Securities Law in Hong Kong 2013: Regulatory Overview and Update - Regulatory Overview and Update , Tuesday, April 30, 2013
First Annual Institute on Corporate & Securities Law in Hong Kong 2013 - Ethics: Hypothetical Scenarios - Ethics: Hypothetical Scenarios , Tuesday, April 30, 2013
On-Demand Web Programs  On-Demand Web Programs Institute on Securities Regulation in Europe 2013 (Twelfth Annual): Overcoming Deal-Making Challenges in the Current Markets , Friday, February 15, 2013 , London
First Annual Institute on Corporate & Securities Law in Hong Kong 2013 , Thursday, May 02, 2013 , Hong Kong
LiveSeminar  Live Seminar First Annual Institute on Corporate & Securities Law in Hong Kong 2013 , Thursday, April 18, 2013 , Hong Kong,
Institute on Securities Regulation in Europe (Twelfth Annual): Overcoming Deal-Making Challenges in the Current Markets , Thursday, January 31, 2013 , London,
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