Unparalleled Regulatory & Compliance in Financial Markets and Futures and Derivatives Law
Bio
Bo Howell has over 15 years of experience as a corporate and securities lawyer and chief compliance officer. He has served in roles with SEC-registered investment advisers, registered and unregistered investment companies, and broker-dealers. Bo worked at the U.S. Securities and Exchange Commission in the Division of Investment Management, as lead in-house counsel at a Fortune 500 asset manager, and as a director at a leading fund administrator. Bo has also successfully launched technology startups and is a thought leader on fintech, regtech, blockchain technology, and the use of artificial intelligence in compliance and law practice. Bo graduated from Gonzaga University School of Law, magna cum laude, and has a Masters in Finance from the Kelley School of Business (Indiana University); he is also a graduate of Washington State University, magna cum laude, with a degree in Political Science. Bo holds certifications in Digital Assets and Blockchain, Designing Artificial Intelligence (AI) Products, and other areas. Bo is licensed in the District of Columbia, Ohio, and Nevada.
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Why Hire Us?
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Specialization in the law governing the trading markets, combined with an industry insider’s understanding equal unparalleled expertise.
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R Tamara de Silva has strategic partnerships with some of the best criminal defense attorneys in the country, summoning over 100 years of combined litigation experience.
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Lead counsel on the first class action involving market manipulation and spoofing in the futures markets under Dodd-Frank.
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With a robust professional journey spanning over two decades, R Tamara de Silva has fostered an extensive repertoire of legal insights, finely honed strategies, and a profound understanding of intricate legal nuances.