Janet M. Angstadt Partner +1.312.902.5494 janet.angstadt@kattenlaw.com 525 West Monroe Street Chicago, IL 60661-3693 Practices Industries Education



Similar documents
September 24, The Securities and Futures Commission 8/F Chater House 8 Connaught Road Central Hong Kong

Gary DeWaal Special Counsel, Financial Services Practice. Lance A. Zinman, Moderator Global Co-Chair, Financial Services Practice

Regulatory Framework and Oversight

FINANCIAL INFORMATION FORUM 5 Hanover Square New York, New York 10004

Understanding Equity Markets An Overview. James R. Burns March 3, 2016

Plenary: Compliance and Legal Trends Tuesday, May 24 4:15 p.m. 5:15 p.m.

ELECTRONIC TRADING GLOSSARY

INTERACTIVE BROKERS LLC A Member of the Interactive Brokers Group

One Goal: Best Execution Trading and Services for Broker-Dealers

CARDS Proposal and Impact on regulatory Initiative

Short Sales: A New Circuit Breaker

Content Outline for Security Futures Training

Statement of Kevin Cronin Global Head of Equity Trading, Invesco Ltd. Joint CFTC-SEC Advisory Committee on Emerging Regulatory Issues August 11, 2010

W. Kenneth Davis Jr.

Robert Bartlett UC Berkeley School of Law. Justin McCrary UC Berkeley School of Law. for internal use only

UNITED STATES SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C

GLOSSARY OF TERMS Advisory Affiliate: person persons controlling controlled employees employees advisory affiliates employees employees persons

Increased Scrutiny of High-Frequency Trading

REED SMITH LLP INVESTMENT ADVISER NEWS QUARTERLY UPDATE

Description. Contact Information. Signature. SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C Form 19b-4. Page 1 of * 38

Broker-dealer industry hot topics

Scope of the Securities Regulations

FINAL STATEMENT OF REASONS FOR THE AMENDMENT OF RULES UNDER THE CORPORATE SECURITIES LAW OF 1968

Municipal Securities 2:00 p.m. 3:15 p.m.

San Francisco, California WEDNESDAY, NOVEMBER 12, 2014 (All times Pacific Standard Time)

Boston, Massachusetts TUESDAY, DECEMBER 9, 2014

Practitioner's Guide for Broker-Dealers Chapter 11 Trade reporting and compliance

Pursuant to section 19(b)(1) of the Securities Exchange Act of 1934 (the Act ), 1 and

Head Traders, Technical Contacts, Compliance Officers, Heads of ETF Trading, Structured Products Traders. Exchange-Traded Fund Symbol CUSIP #

High Frequency Trading Volumes Continue to Increase Throughout the World

Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 ( Act ), 1 and Rule

Risk Management Controls for Brokers or Dealers with Market Access. SUMMARY: The Securities and Exchange Commission ( Commission or SEC ) is adopting

Head Traders, Technical Contacts, Compliance Officers, Heads of ETF Trading, Structured Products Traders. Exchange-Traded Fund Symbol CUSIP #

Financial Markets and Institutions Abridged 10 th Edition

Regulatory Notice 15-44

Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 ( Act ) 1 and Rule

NASDAQ THE PREMIER LISTING VENUE FOR PUBLIC COMPANIES

Co-Location Takeaways From The NYSE Settlement

Investment Adviser Annual and Other Compliance Matters

Client Update CFTC Proposes Rules Regulating Automated Trading

Changes to Broker-Dealer Reporting & Auditing Requirements

Pursuant to Section 19(b)(1) of the Securities Exchange Act of 1934 ( Act ) 1 and Rule

August 12, Mr. Werner Bijkerk International Organization of Securities Commissions Calle Oquendo Madrid Spain

Walter A. Kapuscinski

International Securities Exchange Proposal for. Regulatory Reform for the U.S. Financial Markets

April 8, I. Background.

BROKER-DEALER REQUEST FOR INFORMATION

United States Securities and Exchange Commission

February 22, 2015 MEMORANDUM

Business Finance: U.S. Legal Framework and Introduction to Equity Crowdfunding Crowdfunding Pro and Contra Denver, Colorado

SUMMARY: The Securities and Exchange Commission ( Commission ) is conducting a broad

Exhibit A. All classes of Subscribers have equal access to Vortex services. CONVERGEX.COM

Frequently Asked Questions

Digitization of Financial Markets: Impact and Future

New York, New York THURSDAY, DECEMBER 10, 2015

Technology Advisory Committee

JOBS Act/Crowdfunding. Alistair Johnson, Surveillance Director, FINRA, New Orleans District Office

NYSE MKT LLC and New York Stock Exchange, LLC

Conference on Life Insurance Company Products Featuring Current SEC, FINRA, Insurance, Tax, and ERISA Regulatory and Compliance Issues

SEC Rule 10b5-1 Trading Plans. Executive Financial Services Solutions for Corporate Executives

Form 13H Filing Considerations for Investment Managers. September 27, 2011

Broker-Dealer Concepts

This paper sets out the challenges faced to maintain efficient markets, and the actions that the WFE and its member exchanges support.

The SEC s New Large Trader Reporting Rule

INFORMATION CIRCULAR: ALPS ETF TRUST

PureFunds ISE Cyber Security ETF (the Fund ) June 18, Supplement to the Summary Prospectus dated November 7, 2014

INFORMATION CIRCULAR: DIREXION SHARES ETF TRUST

Paul Bennett. Senior Vice President and Chief Economist. New York Stock Exchange. Testimony before the

NYSE MKT LLC and New York Stock Exchange, LLC

J.H. ELLWOOD & ASSOCIATES, INC. 33 West Monroe, Suite 1850 Chicago, IL (312)

SEC Proposes Significant Regulatory Changes for Alternative Trading Systems

Exchange or NYSE Arca ) filed with the Securities and Exchange Commission (the

ForRelease: February i, 1988 (202)

Head Traders, Technical Contacts, Compliance Officers, Heads of ETF Trading, Structured Products Traders. Exchange-Traded Fund Symbol CUSIP #

FINANCIER. An apparent paradox may have emerged in market making: bid-ask spreads. Equity market microstructure and the challenges of regulating HFT

FREQUENTLY ASKED QUESTIONS ABOUT BLOCK TRADE REPORTING REQUIREMENTS

Study on Investment Advisers and Broker-Dealers

Short Sale Restrictions

MidAmerica Nazarene University, Olathe, KS Business Administration

Top Technology Challenges Thursday, May 28 3:00 p.m. 4:00 p.m.

National Market System (NMS) plan

Alternative Public Offerings: What Companies Need to Know. Barry I. Grossman, Esq. Ellenoff Grossman & Schole LLP

2013 SEC and FINRA Year in Review for Broker Dealers and Investment Advisers

Reverse Mergers Barry I. Grossman Ellenoff Grossman & Schole LLP

Futures Brokerage Activities and Futures Commission Merchants Section

A Closer Look The Dodd-Frank Wall Street Reform and Consumer Protection Act

RE: File No. S ; Proposed Amendments to Regulation SHO

BZX Information Circular EDGA Information Circular BYX Information Circular EDGX Information Circular

An objective look at high-frequency trading and dark pools May 6, 2015

Question 1. Should the execution of a Single Price Session Order be exempt from the best price obligations under Rule 5.2?

Education and Outreach Seminar. July 29, 2014 Chicago, IL

SIFMA Credit & Margin Section Newsletter. 255th Issue January 2013

How To Monitor Stock Trading

Trading Stocks in America: Key Policy Issues. Trading and Market Structure Issues from the Buyside Perspective

HEARTLAND INVESTMENT ASSOCIATES. SEC Rule 606 Quarterly Report for the Quarter Ending December 31, 2007

SEC s Whistleblower Program Under the Dodd-Frank Act

Investment Management: Rising to the Risk and Compliance Challenge kpmg.com

Regulatory Notice 15-10: Retrospective Rule Review Membership Application Rules

Risk Management Controls for Brokers or Dealers with Market Access. SUMMARY: The Securities and Exchange Commission ( Commission or SEC ) is

PureFunds TM ISE Big Data ETF Trading Symbol: BDAT Listed on NYSE Arca. Summary Prospectus January 31,

Transcription:

Janet M. Angstadt Partner +1.312.902.5494 janet.angstadt@kattenlaw.com 525 West Monroe Street Chicago, IL 60661-3693 Practices FOCUS: Financial Services Broker-Dealer Regulation Financial Services Regulatory and Compliance Proprietary Trading Firms Industries Financial Institutions Education JD, DePaul University College of Law BA, St. Olaf College Bar Admissions Illinois Janet M. Angstadt is the head of Katten's Chicago Financial Services practice. She focuses her practice on broker-dealer and exchange compliance issues and advises companies on matters regarding compliance with the regulations of the US Securities and Exchange Commission (SEC) and self-regulatory organizations (SROs). Janet represents clients in a wide range of legal and regulatory matters, including mergers and acquisitions, SRO investigations, compliance issues related to registrations, sales practice, short sales, Regulation NMS, market-making and options and equities order handling. She advises on alternative trading systems, including dark pools and electronic communication networks, policies and procedures for trading systems development and testing and exchange-traded funds (ETFs). Janet counsels large, full-service broker-dealers, exchanges and clearinghouses as well as firms with market-making, proprietary trading and algorithmic models. She also advises market centers on equities and derivatives market structure initiatives, including market access, market data, new products and SEC policy initiatives. In addition, Janet conducts independent compliance and technology reviews and audits related to enforcement action settlements. Before joining Katten, she served as general counsel to NYSE Arca, Inc., an electronic equities and options exchange. As general counsel of NYSE Arca, Janet worked extensively on market structure and regulatory compliance issues and managed the company's membership and registrations departments. Prior to the merger of the New York Stock Exchange and Archipelago, she served as the deputy general counsel of Archipelago, where she created and implemented key company policies, including the company's procedures for development and testing of exchange technology. Janet also managed the compliance programs for Archipelago's four affiliated broker-dealers and played an integral role in legal and regulatory matters involving human resources, intellectual property and mergers and acquisitions, including Archipelago's acquisition of the Pacific Exchange and its merger with the New York Stock Exchange. Earlier, Janet was senior vice president and counsel to the capital markets group of EVEREN Securities, Inc. She also was senior counsel for the SEC's Division of Market Regulation where she was a member of the three-person study team for the Market 2000 Report.

Memberships Econ Illinois, Governing Board Securities Industry and Financial Markets Association Advisories Proposed Amendments to SEC Rule 15b9-1 Would Require Most Proprietary Trading Broker-Dealers to Become FINRA Members (April 20, 2015) FINRA Seeks Comment on Proposal Requiring Registration of Associated Persons Who Develop Algorithmic Trading Strategies (March 26, 2015) FINRA's New Consolidated Supervision Rules: A Roadmap to Compliance (November 11, 2014) SEC Issues Frequently Asked Questions on Supervisory Liability of Broker-Dealer Compliance and Legal Personnel Under Section 15(b)(4) and 15(b)(6) of the Exchange Act (October 9, 2013) The JOBS Act: Congress Overhauls Laws Governing Capital Raising for Most Issuers and Reporting for New Public Companies (March 30, 2012) MiFID II How It Affects Proprietary Traders and Algorithmic Traders (October 31, Guidelines from European Regulator Focus on High Frequency and Algorithmic Trading Obligations (August 18, SEC Adopts Large Trader Reporting Rule (August 3, SEC Extends Compliance Date for Certain Requirements of the Market Access Rule (June 28, SEC Adopts New Rule Concerning Risk Management Controls for Broker-Dealers with Market Access (November 16, FINRA Provides Guidance on Broker-Dealer Funding and Liquidity Risk Management Practices (November 5, SEC Proposes Major Initiative to Build a Consolidated Audit Trail for Equities and Options (June 10, New Circuit Breaker Proposed for Individual Stocks (May 20, SEC Staff Conducting Broad Analysis of Derivative Use by Registered Funds: Certain ETF Applications Are Temporarily Placed on Hold Until Study Is Concluded (March 26, SEC Adopts New Short Sale Price Test Rules (March 5, SEC Adopts New Short Sale Price Test (February 26, SEC Proposes New Market Access Rule and Approves Modifications to the Sponsored Access Rule of the Nasdaq Stock Market (January 29,

SEC Publishes Equity Market Structure Concept Release with Focus on High Frequency Trading, Co-Location, Market Data Latencies and Undisplayed Liquidity (January 25, SEC Proposes Rules and Amendments Regarding Regulation of Non-Public Trading Interest ("Dark Pools") (November 19, 2009) SEC Issues Important New Reg SHO FAQs Concerning "Long" and "Short" Order Marking and Locates for Foreign Broker-Dealers (August 31, 2009) SEC Reopens Comment Period for Short Sale Price Test and Proposes "Alternative Uptick Rule" (August 18, 2009) SEC Makes Short Selling Rule Permanent and Plans to Increase Short Sale Transparency (July 30, 2009) SEC Votes to Seek Comment on Five Alternative Short Sale Rule Proposals (April 9, 2009) OFAC Issues Guidance Regarding Scope of OFAC Compliance Programs (November 7, 2008) SEC Adopts Final Short Selling Rules (October 28, 2008) New Emergency Short Sale Rules Effective September 18, 2008 (September 2008) Second "ComplianceAlert" Cites Common Deficiencies, Effective Practices of Advisers, Funds and Brokers (August 2008) SEC Considers Expansion of the Applicability of Its Recent Short Sale Restrictions (July 2008) SEC Issues Emergency Order to Limit "Naked" Short Sales in Certain Financial Securities (July 2008) Articles Co-author, Recent Regulatory Initiatives Affecting High Frequency Trading, Automated Trader Magazine (June Author, A New Market Access Rule For Broker-Dealers?, Law360 (March 15, Newsletters Author Corporate & Financial Weekly Digest (Weekly) Speaking Engagements & Presentations Panelist A Review of CFTC Proposed Regulation AT and Its Potential Practical Impact Webinar (December 17, 2015) Panelist Emerging Trends in Securities and Futures Trading Regulation New York, New York (November 11, 2015)

Financial Services Litigation Symposium New York, New York (October 6, 2015) Panelist Developments in Proprietary Trading: Cross-Border Comparison of US and European Regulatory Initiatives Chicago, Illinois (April 28, 2015) Speaker Enforcement Issues Arising from Dark Pools Chicago, Illinois (November 20, 2014) Presenter Financial Services Litigation Symposium New York, New York (October 16, 2014) Panelist The Deep End of Dark Pools: Increased Scrutiny of High Frequency Trading First Chair Awards Conference & Gala Chicago, Illinois (August 27, 2014) Panelist Recent Publicity Concerning Proprietary Trading: Potential Regulatory Responses New York, New York (May 6, 2014) Panelist Recent Publicity Concerning Proprietary Trading: Potential Regulatory Responses Chicago, Illinois (April 28, 2014) Presenter Pitfalls in a Shifting Landscape: Trade Practice Issues for Futures and Securities Chicago, Illinois (December 3, 2013) Presenter Enforcement and Examination Priorities of Options Regulators New York, New York (October 1, 2013) Presenter Enforcement and Examination Priorities of Options Regulators Chicago, Illinois (July 9, 2013) Panelist Regulators as Initiators Rapidly Changing Securities Markets: Who Are the Initiators? New York, New York (October 9, 2012) Presenter SEC and CFTC Regulatory Update Chicago, Illinois (July 17, 2012) Panelist Regulatory Compliance 2011 New York, New York (November 30, Presenter Proprietary Trading Issues for 2012 Chicago, Illinois (October 20, Panelist Bloomberg's High Frequency Trading Briefing Chicago, Illinois (July 12, Moderator The Security Traders Association of New York's 75th Annual Conference & Celebration New York, New York (March 31, Panelist What will be the legacy of the 'flash crash'? Chicago Trading & Investing Summit 2010 Chicago, Illinois (October 14, Panelist Options Market Structure An Institutional vs. Retail Marketplace? State of Institutional Options Trading from a Liquidity, Regulatory and Technology Perspective New York, New York (October 6, Panelist SEC Market Structure Concept Release 74th Annual Security Traders Association of New York Conference New York, New York (April 22,

Speaker Proprietary Trading on European Markets Chicago, Illinois (April 14, Speaker Legal and Regulatory Implications of New Short Sale Rule SEC's New Short Sale Rule: Implications and Ambiguities New York, New York (March 29, Panelist New SEC Initiatives Affecting Equity and Options Trading New York, New York (March 18, Panelist New SEC Initiatives Affecting Proprietary Trading Chicago, Illinois (February 25, Speaker Financial Regulatory Reform: Current Developments Chicago, Illinois (December 3, 2009) Panelist Proprietary Trading Follow-Up Roundtable Chicago, Illinois (April 16, 2009) Presenter Regulatory Developments in Equity and Options Trading New York, New York (March 12, 2009)