Natalie Wray Rastin


Natalie Rastin is on secondment and not currently practicing at WilmerHale

Rastin, Natalie Wray
Natalie Rastin’s practice focuses on securities enforcement and regulatory matters, including internal corporate investigations and securities regulatory investigations, examinations and actions. She has represented major investment banks, public companies, hedge funds, investment advisers and individuals in a wide range of matters before the Securities and Exchange Commission, the Department of Justice, securities self-regulatory organizations and state authorities.

Ms. Rastin’s recent matters have involved representing clients in a wide variety of government investigations and examinations, including those related to financial fraud, inaccurate books and records, failed internal controls, sales and trading practices, research disclosures, information barrier compliance, exchange compliance, breaches of fiduciary duty, insider trading and violations of the Foreign Corrupt Practices Act.

Prior to joining the firm, Ms. Rastin completed internships with the Enforcement Division of the NASD/ FINRA, the Division of Market Regulation and the Office of Commissioner Roel Campos at the Securities and Exchange Commission, where she focused on enforcement matters, adjudications and proposed rules.

Publications & News


May 26, 2015

Litigating With and at the SEC

An article by Douglas Davison, Matthew Martens, Nicole Rabner and Natalie Rastin, published in The Review of Securities & Commodities Regulation, Vol. 48 No. 9 on May 6, 2015.


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JD, Catholic University of America, Columbus School of Law, 2008, Certificate in Securities and Corporate Law; Editor-in-Chief, CommLaw Conspectus: Journal of Communications Law and Policy

BS, Finance and Economics, University of Maryland, 2003

Bar Admissions

New York

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