Morgan Lewis

Related Publications

11/14/07 The Impact of Hedge Funds on the Global Capital Markets, presented at Terrapinn's Hedge Funds World Bahamas 2007, Atlantis, Bahamas
10/30/07 Governance, Risk and Compliance Track: SEC Enforcement Actions, presented at the 14th Annual Institutional Investor/MARHedge Global Hedge Fund Summit, Bermuda
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Related Events

10/20/08-10/22/08 NSCP National Membership Meeting Philadelphia
Anne Flannery, Ivan Harris, Ben Indek, and Steven Stone, speakers
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Related News

05/21/07 Morgan Lewis Adds Senior SEC Enforcement Official to National Securities Practice and Miami Office
Ivan Harris, former Assistant Regional Director of Enforcement for the SEC's Southeast Region, has joined the firm's national securities practice as a partner in the Miami office.
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Ivan P. Harris
Partner


Email: iharris@morganlewis.com
Miami
5300 Wachovia Financial Ctr.
200 S. Biscayne Boulevard
Miami, FL 33131-2339
Phone: 305.415.3398
Fax: 305.415.3001

Ivan P. Harris is a partner in Morgan Lewis's Litigation Practice. Mr. Harris represents public companies and their employees, financial institutions, securities industry professionals, and other entities and individuals in investigations, examinations, and litigation before the SEC, FINRA, NYSE, and other securities regulators. He also regularly advises securities industry clients on compliance and regulatory issues. Mr. Harris's background includes senior positions at the SEC and a position as in-house counsel at a financial services firm. From 2001 to 2005, he was an assistant regional director for enforcement in the SEC's Miami Office, which he joined in 1998.

Since joining the firm, Mr. Harris has represented hedge fund and securities industry clients with respect to regulatory investigations and examinations involving asset-backed and mortgage-backed securities, auction rate securities, and hedge fund and mutual fund valuation practices. He has also represented public companies and their officers and directors in SEC investigations involving financial accounting practices and insider trading.

While at the SEC, Mr. Harris led an SEC investigation of a major hedge fund collapse and an investigation of the first SEC case involving illegal hedge fund short selling. He also developed a background in international securities cases, having investigated major accounting, financial disclosure, stock manipulation, and Foreign Corrupt Practices Act (FCPA) matters with connections to Europe and Latin America.

Immediately prior to joining Morgan Lewis, Mr. Harris served as the regulatory counsel for a financial services firm, where he advised on trading issues and compliance matters pertaining to the firm's hedge fund and broker-dealer operations. He also served on several securities industry committees that focused on issues relevant to fixed income trading and securitized products.

Mr. Harris is a frequent speaker at securities industry and hedge fund conferences. Before joining the SEC in 1998, he practiced in the litigation departments of two New York law firms. Mr. Harris is admitted to practice in Florida and New York.

Education

  • Duke University School of Law, 1994, J.D.
  • University of Pennsylvania, 1991, B.A., Cum Laude
  • University of Pennsylvania, Wharton School of Business, 1991, B.S., Cum Laude