Jeremy advises registered investment companies, funds, boards of directors, and investment advisers on regulatory, compliance, and governance matters under U.S. securities laws.
As a member of the Investment Services group, he works with clients to support effective oversight, regulatory alignment, and sound governance practices. Jeremy also has experience advising clients on entity formation and structuring matters, including governance frameworks, tax-efficient structures, and required state and federal filings. In addition, he has represented nonprofit organizations and social enterprises on tax, governance, and regulatory compliance issues, helping organizations balance mission-driven goals with operational and regulatory demands.
Credentials
Education
- Loyola University Chicago School of Law, J.D., magna cum laude, 2020
- University of Illinois, B.S., with honors, 2016
Bar Admissions
- Illinois, 2021
Recognition
- Super Lawyers – Closely Held Business; Business/Corporate; Estate Planning & Probate; Nonprofit Organizations; Tax: Consumer, Rising Star (2025-2026)
Insights & Events
Publications
SEC Approves Intraday Trading and Settlement for Tokenized Money Market Fund
April 3, 2026
Publications
Investment Services Regulatory Update April 2026
April 3, 2026
Publications
Treasury Department and IRS Issue Final Regulations Exempting Non-RIC Funds from Stock Repurchase Excise Tax
January 28, 2026
Publications
Investment Services Regulatory Update January 2026
January 28, 2026
News
26 Vedder Attorneys Recognized in 2026 Illinois Super Lawyers
January 26, 2026
Publications
Investment Services Regulatory Update November 2025
November 14, 2025
Publications
SEC Set to Approve ETF Share Class Exemptive Relief
November 14, 2025
Publications
SEC Names New Director of the Division of Enforcement
September 29, 2025
