FacultyFaculty/Author Profile

Stephanie M. Monaco

Mayer Brown LLP
Washington, DC, USA

Stephanie M. Monaco is a partner in Mayer Brown’s Financial Services Regulatory & Enforcement practice group. She advises investment management firms, investment companies, broker-dealers and hedge funds across a broad range of investment management needs. Formerly an attorney with the U.S. Securities and Exchange Commission, Stephanie brings a deep understanding of the regulatory environment to counseling clients on issues of compliance and product development. Stephanie joined Mayer Brown in 2005. She also worked with the SEC’s Division of Investment Management, first in the Division’s Chief Counsel’s Office (1983-1986) and, later, in the Division’s Office of Investment Company Regulation (1988-1991).
Stephanie M. Monaco is associated with the following items:
Treatise Chapters  Treatise Chapters The SEC’s Office of Compliance Inspections and Examinations - Securities Investigations: Internal, Civil and Criminal (2nd Edition), Tuesday, October 23, 2018

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