Corey Malone-Smolla is an associate in the firm’s Asset Management and Investment Funds practice. In this capacity, she focuses on a wide range of regulatory and compliance matters including assisting registered investment companies and their independent board members with regulatory and compliance matters arising under US federal securities laws, Form ADV disclosures and SEC regulatory developments.
In addition, Corey maintains an active pro bono practice through the firm’s Civil Cyber Rights Legal Project.