FacultyFaculty/Author Profile
Priya Udeshi Crick

Priya Udeshi Crick

New York Life Insurance Company
Associate General Counsel, Office of the General Counsel
New York, NY, USA


Priya Udeshi Crick is an Associate General Counsel at New York Life Insurance Company and counsels Eagle Strategies LLC, their registered investment adviser.  She was formerly an Executive Director in Morgan Stanley’s Legal and Compliance Division, advising on investment advisory programs and services with over $350 billion in AUM for institutional and retail clients. Before joining Morgan Stanley in 2006, she was a corporate associate at Davis Polk & Wardwell in New York for five years, primarily in the capital markets group advising Fortune 500 companies on domestic and international securities offerings.

Ms. Udeshi Crick has been a speaker for and participates in industry groups on issues such as asset management, financial planning, leadership and career development.

Ms. Udeshi Crick was a Cambridge Commonwealth Trust Fellow and graduated with First Class Honors in Law from the University of Cambridge (U.K.) receiving the Sir David Williams and Ivor Jennings prizes for academic excellence.  Prior to Cambridge, she was a recipient of the prestigious Thomas J. Watson Fellowship awarded to graduates to foster leadership in the world community.

Priya Udeshi Crick is associated with the following items:
Web Segment  Web Segment The Advisers Act; Broker Dealer and Bank Fiduciary Requirements - Financial Services Conflicts of Interest & Fiduciary Duties 2017: Navigating the Emerging Regulatory Maze, Thursday, April 27, 2017
MP3 Audio  MP3 Audio The Advisers Act; Broker Dealer and Bank Fiduciary Requirements - The Advisers Act; Broker Dealer and Bank Fiduciary Requirements, Thursday, April 27, 2017
Transcripts  Transcripts The Advisers Act; Broker Dealer and Bank Fiduciary Requirements - The Advisers Act; Broker Dealer and Bank Fiduciary Requirements, Thursday, April 27, 2017
MP4 - Mobile Video Seg  MP4 - Mobile Video Seg The Advisers Act; Broker Dealer and Bank Fiduciary Requirements - The Advisers Act; Broker Dealer and Bank Fiduciary Requirements, Thursday, April 27, 2017
On-Demand Web Programs  On-Demand Web Programs Financial Services Conflicts of Interest & Fiduciary Duties 2017: Navigating the Emerging Regulatory Maze, Friday, April 28, 2017, New York, NY
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