PHILADELPHIA – Stradley Ronon is pleased to announce that Partner
Jan M. Folena spoke at the Law & Compliance Division Conference hosted by FIA, which provides a forum to learn and discuss regulatory issues impacting the derivatives industry. The event, which took place on April 28 in Washington, DC, featured Folena on the panel “CTFC vs. SEC,” covering the similarities and differences between the two regulatory agencies.
Folena is a nationally recognized trial and appellate lawyer using her 20 years of
enforcement and government experience to guide clients on securities, derivatives and financial services litigation. She advises and represents clients in all types of securities matters, including those involving investment managers, financial fraud, insider trading, foreign bribery and matters involving complex financial instruments. Before joining the firm, Folena served as supervisory chief litigation counsel at the SEC, leading some of the industry’s most complex and high-profile cases in the Enforcement Division.
About Stradley Ronon
Counseling clients since 1926, Stradley Ronon has helped private and public companies – from small businesses to Fortune 500 corporations – achieve their goals by providing pragmatic, value-driven legal counsel. With offices in seven strategic locations, our responsive team of more than 200 attorneys seamlessly addresses the full spectrum of our clients’ needs, ranging from sophisticated corporate transactions to complex commercial litigation.