Natasha Vij Greiner
Partner
- Chair, Investment Management
Natasha Vij Greiner is chair of the firm’s Investment Management practice. She brings extensive leadership and regulatory experience from her distinguished career at the US Securities and Exchange Commission (SEC) to WilmerHale’s Securities and Financial Services Department. With more than two decades at the SEC, Natasha held senior roles across four agency divisions, most recently serving as Director of the Division of Investment Management, where she led a team regulating the asset management industry and oversaw major rulemaking initiatives. She previously served as Acting Co-Director and Deputy Director of the Division of Examinations and National Associate Director of the IA/IC examination program, including the Private Funds Unit.
Natasha also served as Acting Chief Counsel and Assistant Chief Counsel in the Division of Trading and Markets, where she advised the Commission on legal and policy matters related to rules governing market participants and securities market operations. Additionally, she held positions within the Division of Enforcement—including the Asset Management Unit—where she investigated potential violations of federal securities laws and litigated cases in both federal district court and administrative proceedings.
During her tenure at the SEC, Natasha oversaw regulatory initiatives impacting major securities market participants, broker-dealers, investment advisers and self-regulatory organizations, and developed innovative approaches to address complex problems. Natasha’s experience includes advising on regulatory compliance, managing special projects and facilitating coordination among domestic and international regulators.
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Credentials
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Education
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JD, Catholic University of America, Columbus School of Law, 2001
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BS, James Madison University, 1997
cum laude
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Admissions
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District of Columbia
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US Court of Appeals for the District of Columbia Circuit
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Government Experience
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Securities and Exchange Commission
Division of Investment Management
Director -
Securities and Exchange Commission
Division of Examinations
Acting Co-Director -
Securities and Exchange Commission
Division of Examinations
Deputy Director -
Securities and Exchange Commission
Division of Examinations
National Associate Director, IA/IC Examination Program -
Securities and Exchange Commission
Division of Examinations
Associate Director, IA/IC Examination Program, Washington DC Office -
Securities and Exchange Commission
Division of Trading and Markets
Acting Chief Counsel -
Securities and Exchange Commission
Division of Trading and Markets
Assistant Chief Counsel -
Securities and Exchange Commission
Division of Trading and Markets
Branch Chief -
Securities and Exchange Commission
Division of Trading and Markets
Special Counsel -
Securities and Exchange Commission
Division of Enforcement
Senior Counsel -
Securities and Exchange Commission
Office of Compliance Inspections and Examinations
Senior Counsel
-
Credentials
-
Education
-
JD, Catholic University of America, Columbus School of Law, 2001
-
BS, James Madison University, 1997
cum laude
-
-
Admissions
-
District of Columbia
-
US Court of Appeals for the District of Columbia Circuit
-
-
Government Experience
-
Securities and Exchange Commission
Division of Investment Management
Director -
Securities and Exchange Commission
Division of Examinations
Acting Co-Director -
Securities and Exchange Commission
Division of Examinations
Deputy Director -
Securities and Exchange Commission
Division of Examinations
National Associate Director, IA/IC Examination Program -
Securities and Exchange Commission
Division of Examinations
Associate Director, IA/IC Examination Program, Washington DC Office -
Securities and Exchange Commission
Division of Trading and Markets
Acting Chief Counsel -
Securities and Exchange Commission
Division of Trading and Markets
Assistant Chief Counsel -
Securities and Exchange Commission
Division of Trading and Markets
Branch Chief -
Securities and Exchange Commission
Division of Trading and Markets
Special Counsel -
Securities and Exchange Commission
Division of Enforcement
Senior Counsel -
Securities and Exchange Commission
Office of Compliance Inspections and Examinations
Senior Counsel
-