Marc . Wyatt

Securities and Exchange Commission
Marc Wyatt was named Acting Director of SEC's Office of Compliance, Inspections and Examinations in April 2015. In November 2014 was named Deputy Director of Office of Compliance, Inspections and Examinations. Marc joined the SEC in 2012 as a Senior Specialized Examiner focused on hedge funds and private equity and was Co-Chair of the Private Funds Unit. Prior to joining the SEC, Marc was a Partner and Senior Portfolio Manager at Stark Investments (a global multi-strat hedge fund) where he served as the co-head of the London office and was responsible for all aspects of the London office's activities, including asset allocation, risk management, marketing, operations, and compliance.  Prior to working in the hedge fund industry, Marc was a senior investment banker at Merrill Lynch and Alex. Brown.  Marc began his career as an analyst in the restructuring group at Lehman.  Marc is a CFA charterholder and earned a BS in Economics from University of Delaware and a MBA from Duke University. 
 
(05/15)
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