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Ana-Maria Ignat
Associate
Washington D.C.
, (202) 887-1561
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Education
University of Bucharest (B.A., 1998)
;
Central European University (M.A., 1999)
;
George Mason University School of Law (J.D., 2004)
Practices
Financial Services Litigation
Financial Institutions + Financial Services
Litigation
Bar Admissions
Virginia
District of Columbia
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When Legal or Compliance Personnel May Be Subject to Failure to Supervise Liability Under the Securities Laws
10/9/2013
Investment Management
,
Securities Litigation, Enforcement + White-Collar Defense
,
Securities: Regulatory + Enforcement
Client Alert
FINRA Gives Member Firms a Thumbs Up on Suitability Rule Compliance
9/30/2013
Investment Management
,
Securities Litigation, Enforcement + White-Collar Defense
,
Securities: Regulatory + Enforcement
Client Alert
Renewed Focus on an Old Rule: SEC Steps Up Rule 105 Enforcement Efforts
9/18/2013
Investment Management
,
Public Companies Counseling + Compliance
,
Securities Litigation, Enforcement + White-Collar Defense
,
Securities: Regulatory + Enforcement
Client Alert
Brave New World For Data Furnishers
Law360
9/17/2013
Banking + Financial Services
,
Financial Institutions + Financial Services
Article
Reprinted with permission.
Financial Services Report, Fall 2013
9/16/2013
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
Brave New World for Data Furnishers
9/9/2013
Banking + Financial Services
,
Financial Institutions + Financial Services
Client Alert
PCAOB’s Report on Broker-Dealer Audit Deficiencies Points the Way for BDs to Improve Their Financial Reporting and Compliance
8/26/2013
Investment Management
,
Securities Litigation, Enforcement + White-Collar Defense
,
Securities: Regulatory + Enforcement
Client Alert
Hurricane Sandy Redux: Agencies Recommend Business Continuity Planning
8/21/2013
Investment Management
,
Public Companies Counseling + Compliance
,
Securities Litigation, Enforcement + White-Collar Defense
,
Securities: Regulatory + Enforcement
Client Alert
The STOCK Act and the Political Intelligence Industry
Harvard Law School Forum on Corporate Governance and Financial Regulation
7/20/2013
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Investment Management
,
Public Companies Counseling + Compliance
,
Regulatory + Enforcement
,
Securities Litigation, Enforcement + White-Collar Defense
Article
Reprinted with permission.
How to Be a Good Corporate Citizen CFPB Style
7/3/2013
Financial Services Litigation
Client Alert
The STOCK Act and the Political Intelligence Industry: No Easy Answers
6/24/2013
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Investment Management
,
Public Companies Counseling + Compliance
,
Regulatory + Enforcement
,
Securities Litigation, Enforcement + White-Collar Defense
Client Alert
Financial Services Report, Summer 2013
6/6/2013
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
SEC and CFTC Issue Identity Theft Rules
4/19/2013
Banking + Financial Services
,
Capital Markets
,
Financial Institutions + Financial Services
,
Investment Management
,
Public Companies Counseling + Compliance
,
Regulatory + Enforcement
,
Securities Litigation, Enforcement + White-Collar Defense
Client Alert
Financial Services Report, Spring 2013
3/12/2013
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
FINRA Rule 4530 – Recent Revisions Remind Broker-Dealers of the Importance of the New Requirement to Report Internal Findings of Violative Conduct
2/27/2013
Banking + Financial Services
,
Broker-Dealer Compliance + Regulation
,
Financial Institutions + Financial Services
Client Alert
Financial Services Report, Winter 2012
12/10/2012
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
Financial Services Report, Fall 2012
10/4/2012
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
Financial Services Report, Summer 2012
6/8/2012
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
Financial Services Report, Spring 2012
4/2/2012
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
Financial Services Report, Winter 2012
12/6/2011
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
Financial Services Report, Fall 2011
9/2/2011
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
Financial Services Report, Winter 2010
12/9/2010
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
Financial Services Report, Summer 2010
Summer 2010
Banking + Financial Services
,
Financial Institutions + Financial Services
,
Financial Services Litigation
Newsletter
Financial Services Report, Spring 2010
3/2/2010
Financial Institutions + Financial Services
,
Financial Services
,
Financial Services Litigation
Newsletter
California Allows Discovery to Identify Class Representatives
5/1/2007
Article
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