Adam Moore is a seasoned legal professional with extensive experience in securities law and regulatory compliance. Currently serving as Senior Counsel in the Office of the Investor Advocate at the U.S. Securities and Exchange Commission since September 2011, Adam specializes in analyzing the impact of regulations on investors and providing executive briefings on legislative proposals. Previously, as Special Counsel in the Office of Market Supervision, Adam focused on rule change proposals and market developments related to equity, debt, and derivative markets. Prior experience includes a role as a Litigation Associate at Dechert LLP, where Adam managed securities litigation defense and regulatory enforcement actions. Educational credentials include a Juris Doctor from New York University School of Law and a Bachelor of Arts in Foreign Affairs, Psychology, and Economics from the University of Virginia.
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