Claire T. is an experienced attorney specializing in investment management and regulatory compliance, currently serving as an Attorney Adviser in the Division of Investment Management at the U.S. Securities and Exchange Commission since August 2023. Prior to this role, Claire held several positions, including Counsel in the Division of Enforcement at Stifel Financial Corp. and Deputy General Counsel focused on Enterprise Regulatory, Asset Management, and Investment Advisory. Claire's career began in compliance at prominent firms such as Bridgewater Associates and Davidson Kempner Capital Management, following foundational experience in securities law at Lubiner & Schmidt, LLC. Academically, Claire earned an LL.M with Distinction in Securities & Financial Regulation from Georgetown University Law Center and a JD from Emory University School of Law, complemented by a BA in Political Science and Economics from Rutgers University.
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