Experience:
Stephanie Monaco is member of the Financial Services Regulatory & Enforcement practice group. She advises investment management firms, investment companies and hedge funds across a broad range of investment management needs. Formerly an attorney with the US Securities and Exchange Commission, Stephanie brings a deep understanding of the regulatory environment to counseling clients on issues of compliance and product development.
In 2007, Chambers USA recommended Stephanie based on her ". . . great attitude, great business sense and responsiveness . . ." Previously (2006), Chambers noted that Stephanie ". . . 'has a keen understanding of industry issues' and 'knows when to step back and when an issue has to be forced'. . . ".
Stephanie joined Mayer Brown in 2005. Previously, she was a partner at other prominent law firms in Washington, DC. 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).
Education:
University of Baltimore School of Law, JD, 1982, University of Maryland, BA, 1979. |