Prior to joining the company in 1989, Ms. Brown was an associate attorney with the law firm of Kelley Drye & Warren in Washington, D.C., specializing in corporate and securities law. Ms. Brown came to Kelley Drye & Warren as a result of a merger between Kelley Drye and the law firm of Lane and Edson where she practiced law from 1984 to 1988 working in the real estate syndication and mergers and acquisitions departments. Prior to associating with Lane and Edson, she worked for Peabody Lambert & Meyers, concentrating in the securities area with an emphasis on oil and gas ventures. Ms. Brown received a Bachelor of Arts degree from Bryn Mawr College, cum laude, and a Juris Doctorate from the Catholic University of America. She is a member of the Massachusetts and District of Columbia Bars. Ms. Brown holds Series 7, 24, 63 and 65 securities licenses as well as life, health and variable insurance licenses. She is also currently serving as a member of FINRA’s Independent Broker/Dealer Committee and the FINRA National Adjudicatory Council. Ms Brown is also a member of the Board of Directors of the Financial Services Institute. |