Jamie Lacy is an associate in Winstead’s Securities Litigation & Enforcement, White-Collar Defense, and Business Litigation Practice Groups. Jamie represents public and private companies, hedge funds, private equity funds, asset managers, broker-dealers, registered investment advisers, officers and directors, registered persons, and other institutions in government investigations, securities law enforcement and litigation, and FINRA arbitrations. In addition, she counsels clients in regulatory and enforcement matters before the SEC, FINRA, Texas State Securities Board and other state securities regulators, as well as other regulatory and law enforcement agencies.
Prior to joining Winstead, Jamie represented commercial sureties in complex litigation involving bond disputes. Jamie also served as an extern for the SEC where she worked on various investigations and enforcement matters, including insider trading, EB-5 fraud, municipal bond fraud, and violations of the FCPA. Additionally, Jamie twice served as an extern for FINRA in their Member Regulation and Enforcement Departments.
Articles in the National Law Review database by Jamie Lacy