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Sarah Y. Hanni

Associate | San Francisco
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shanni@mofo.com |
(202) 887-8789

Practices

  • Securities + Derivatives Regulatory Solutions
  • Broker-Dealer Compliance + Regulation
  • Investment Management

Bar Admissions

  • Provisionally Licensed Lawyer in California

  • District of Columbia

Education

  • Brigham Young University, B.S.

  • University of Virginia School of Law, J.D.

Insights

Insights

Client Alert
SEC and CFTC Propose Scaling Back Form PF Requirements
19 May 2026
Client Alert
Department of Labor Proposes Rule to Reduce Risks Associated with Opening 401(k) Plans to Private Market Assets
03 Apr 2026
Client Alert
March 2026 Investment Adviser Compliance Checklist
05 Mar 2026
Client Alert
FinCEN Hits Pause: No AML Rule for Investment Advisers Until 2028
08 Jan 2026
Client Alert
SEC Chairman Atkins Outlines Priorities Under “Project Crypto”
19 Nov 2025
Client Alert
AI Compliance Tips for Investment Advisers
15 Oct 2025
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Events

Events

Sponsorship
Investment Company Institute's 2025 Investment Management Conference
16 Mar 2025 - 19 Mar 2025
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