Our Approach

Davis Polk’s Broker-Dealer and Market Regulation practice, which is a part of the firm’s Financial Institutions Group (FIG), is one of the leading practices of this type in the country. We are well known and highly respected throughout the securities industry and at all of the U.S. securities regulators.

We represent many of the largest domestic and international investment banks in a wide variety of legal, compliance and regulatory matters. We also represent smaller broker-dealers, banks, securities markets, clearing agencies, and securities and derivatives industry trade associations.
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Our Lawyers

The senior lawyers in the Broker-Dealer and Market Regulation practice listed bring a broad perspective and practical approach to advising clients, having spent many years as regulators in private practice and in senior in-house legal and compliance positions. The core senior lawyers in this practice are:

  • Annette L. Nazareth is a member of Davis Polk’s Financial Institutions Group, practicing in our Washington DC office. She advises clients across a broad range of complex regulatory matters and transactions. She also works closely with Davis Polk’s SEC enforcement practice, counseling non-financial sector corporations that are subject to government regulatory and enforcement actions.  To view Ms. Nazareth’s full-length biography, please click here.
  • Lanny A. Schwartz is a member of Davis Polk’s Corporate Department and the Broker-Dealer and Market Regulation practice within our Financial Institutions Group. He advises on securities compliance, regulatory and transactional matters. His clients include major international banks, broker-dealers, securities exchanges and consulting firms. To view Mr. Schwartz’s full-length biography, please click here.

  • Gerard S. Citera is counsel in Davis Polk’s Financial Institutions Group and a senior lawyer in the firm’s Broker-Dealer and Market Regulation practice. He has extensive experience representing broker-dealers, banks, investment banks, investment advisers and other financial institutions in a wide range of legal, compliance and regulatory matters. His advisory practice focuses on the full scope of broker-dealer regulatory issues, including compliance, supervision, trading, sales, market structure, derivatives and technology. To view Mr. Citera’s full-length biography, please click here.
  • Robert L.D. Colby is counsel in Davis Polk’s Washington DC office. He advises on financial crisis issues and complex regulatory and compliance questions involving securities and derivatives for broker-dealers, markets, central counterparties and rating agencies. Before joining Davis Polk in 2009, Mr. Colby served as Deputy Director of the Securities and Exchange Commission’s Division of Trading and Markets, where he was responsible for the regulation and oversight of securities firms, clearing organizations and the U.S. securities markets. Previously, he was Chief Counsel of the Division and Chief of the Division’s Office of Market Structure. To view Mr. Colby’s full-length biography, please click here

To see a list of all the lawyers in the Broker-Dealer and Market Regulation practice, click here.

Awards & Rankings

  • Half of Davis Polk’s partners are listed as “Leaders in Their Field” in either Chambers Global (2009) or Chambers USA (2009).

Areas of Expertise

Market Regulation and Market Structure
Mergers & Acquisitions and Private Equity
Compliance and Enforcement
Capital Markets and Financial Products
Financial Regulatory Advice