
Stephanie M. Monaco
Stephanie has been a partner in Mayer Brown’s Corporate and Securities practice since joining the firm in 2005. Her work focuses on investment management clients, primarily SEC-registered investment advisers, many that are dually-registered investment advisers and broker-dealers. She advises investment advisers, dual registrants, investment companies (both registered and unregistered) and private funds, across a broad range of investment management and compliance needs. Her practice covers registration, compliance program designs and improvements, conflict and compliance breach issues, regulatory exams, and enforcement proceedings. Stephanie started her practice at the SEC (in the Division of Investment Management), spent a brief period of time in private practice and returned to the SEC for a second time. Since 1991, she has been with prominent law firms in Washington, DC.
Stephanie received her Bachelor of Arts Degree from the University of Maryland and JD from the University of Baltimore. She is recognized and ranked in Chambers (Band 1) and has been included in Best Lawyers in America since 2009.