Nicole M. Crum is the Chair of the Firm's Corporate Governance & Board Advisory Practice Group and a partner in the Investment Management Group of our Washington, D.C. office.
Nicole's practice focuses on the representation of mutual funds and their independent directors, as well as investment advisers and broker-dealers.
She regularly advises mutual fund boards, independent directors, board committees and executive leadership in the financial services industry on all aspects of governance and compliance, including the operation of investment companies and related transactions, crisis and conflict management, regulatory oversight and compliance, government and internal investigations, and shareholder engagement issues.
Nicole counsels U.S. and non-U.S. financial services clients on all aspects of SEC and self-regulatory organization regulation. She is known as a trusted adviser to clients.
LL.M University of London, University College London 2004
J.D., The Ohio State University Moritz college of Law ,2003f
1999,B.A., The Ohio State University
Bar & Court Admissions
District of Columbia,2007