James Brigagliano

Partner @Sidley Austin LLP

Washington, DC, US
EMAILS
j••••••••@sidley.com
MOBILE NUMBERS
+12•••••••97

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WORK HISTORY

Oct 2011 — Present

Partner @Sidley Austin LLP

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JAMES A. BRIGAGLIANO is a partner in the Securities and Futures Regulatory Practice of Sidley Austin LLP. He advises a wide array of financial services firms including investment and commercial banks, broker-dealers, and hedge funds – on a broad variety of regulatory, enforcement, compliance, and transactional matters. Mr. Brigagliano focuses his practice in particular on SEC and SRO rules governing trading by broker-dealers and hedge funds, broker-dealer registration and conduct rules, and recent Dodd-Frank initiatives. He has been a frequent speaker at seminars and conferences attended by in-house lawyers and business people each year.

EDUCATION

1979 — 1982

Georgetown University Law Center

JD

1975 — 1979

Amherst College

BA, American Studies

ABOUT JAMES BRIGAGLIANO

JAMIE BRIGAGLIANO is a partner and Washington coordinator of the Securities & Derivatives Enforcement and Regulatory group. He advises broker-dealers, hedge funds, and other financial services firms on a broad variety of regulatory, enforcement, compliance, and transactional matters. Jamie focuses his practice in particular on SEC and SRO rules governing trading by broker-dealers and hedge funds, broker-dealer registration and conduct rules, and recent Dodd-Frank initiatives. Among these areas in particular are regulations governing: Short Sales (Regulation SHO and Rule 105) Research Regulation M Volcker Rule Regulation NMS and Best Execution SRO Trading, Reporting, Offering, Advertising and Conduct Rules SRO Rule Filings Exchange Applications Broker-Dealer Registration and Compliance Regulation ATS Clearance and Settlement Prior to joining the firm, Jamie served as the Deputy Director of the Division of Trading and Markets at the Securities and Exchange Commission, where he held senior policymaking and management responsibilities. He oversaw the regulation of broker-dealers, securities markets and trading practices; advised on enforcement matters and testified before Congress. Jamie also served as Co-Acting Director of the Division in 2009. Jamie was honored with many awards during his tenure at the SEC: the Chairman’s Award for Excellence, given to the Flash Crash Response Team, and the Law and Policy Award in 2011, given to the Dodd-Frank Implementation Team; the Jay Manning Award in 2004; the Supervisory Excellence Award in 2002; and the Capital Markets Award in 2001 and 2005. He has been a frequent speaker at seminars and conferences attended by thousands of in-house lawyers and business people each year. Attorney Advertising. Prior results do not guarantee a similar outcome.

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