Members of New Investor Advisory Committee Bared

Jack Humphrey, Regulatory journalist
April 11, 2012 /

The Securities and Exchange Commission has made public the formation of a new Investor Advisory Committee required by the Dodd-Frank Wall Street Reform and Consumer Protection Act.

The 21-member committee replaces the advisory committee that was disbanded after the Dodd-Frank Act became law. Section 911 of the Dodd-Frank Act established the new committee to advise the SEC regulatory priorities, the regulation of securities products, trading strategies, fee structures, the effectiveness of disclosure, and on initiatives to protect investor interests and to promote investor confidence and the integrity of the securities marketplace.

The Dodd-Frank Act authorizes the committee to submit findings and recommendations for review and consideration by the Commission.

Members of the newly formed committee were nominated by all five sitting commissioners and represent a wide variety of interests, including senior citizens and other individual investors, mutual funds, pension funds, and state securities regulators.

“The SEC’s new Investor Advisory Committee is made up of individuals with a broad range of backgrounds and experiences,” said SEC Chairman Mary Schapiro.

“I look forward to their insight and recommendations as to how we can further the SEC’s critical investor protection mission.”

The members of the new Investor Advisory Committee are:

Darcy Bradbury, Managing Director and Director of External Affairs, D.E. Shaw & Co., L.P.
J. Robert Brown, Jr., Law Professor, University of Denver
Joseph Dear, Chief Investment Officer, California Public Employees’ Retirement System
Eugene Duffy, Partner and Principal, Paradigm Asset Management Co. LLC
Roger Ganser, Chairman of the Board of Directors of BetterInvesting
James Glassman, Executive Director, George W. Bush Institute
Craig Goettsch, Director of Investor Education and Consumer Outreach, Iowa Insurance Division
Joseph Grundfest, William A. Franke Professor of Law and Business, Stanford Law School
Mellody Hobson, President and Director of Ariel Investments, LLC
Stephen Holmes, General Partner and Chief Operating Officer, InterWest Partners
Adam Kanzer, Managing Director and General Counsel of Domini Social Investments and Chief Legal Officer of the Domini Funds
Roy Katzovicz, Partner, Investment Team Member and Chief Legal Officer, Pershing Square Capital Management, L.P.
Barbara Roper, Director of Investor Protection, Consumer Federation of America
Kurt Schacht, Managing Director, CFA Institute
Alan Schnitzer, Vice Chairman and Chief Legal Officer, The Travelers Companies, Inc.
Jean Setzfand, Director of Financial Security for the AARP
Anne Sheehan, Director of Corporate Governance, California State Teachers’ Retirement System
Damon Silvers, Associate General Counsel for the AFL-CIO
Mark Tresnowski, Managing Director and General Counsel, Madison Dearborn Partners, LLC
Steven Wallman, Founder and Chief Executive Officer, Foliofn, Inc.
Ann Yerger, Executive Director, Council of Institutional Investors
The Investor Advisory Committee will begin its work in the near future.

 

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