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Nader Salehi

Nader Salehi is a partner in the Government, Regulatory and Internal Investigations Practice Group in the Washington, D.C., office of Kirkland & Ellis LLP. Nader represents clients in high-profile and complex internal and government investigations, and has counseled investment banks, asset managers and public companies in matters of enterprise-wide significance. He has led clients through significant matters involving the Securities and Exchange Commission (SEC), the Financial Industry Regulatory Authority (FINRA), and other federal and state regulators. His enforcement practice often involves the defense of complex trading and valuation issues, particularly those involving allegations of insider trading, manipulation, and financial misstatements. Nader is a frequent speaker at major industry events, including the SIFMA C&L Annual Conference and PLI’s Broker Dealer Regulation and Enforcement Conference. · Kirkland & Ellis LLP

United StatesGovernment, Regulatory and Internal Investigations, Securities Regulation and Enforcement

About

Nader Salehi is a partner in the Government, Regulatory and Internal Investigations Practice Group in the Washington, D.C., office of Kirkland & Ellis LLP. He represents clients in high-profile and complex internal and government investigations, and has counseled investment banks, asset managers and public companies in matters of enterprise-wide significance. He has led clients through significant matters involving the Securities and Exchange Commission (SEC), the Financial Industry Regulatory Authority (FINRA), and other federal and state regulators. His enforcement practice often involves the defense of complex trading and valuation issues, particularly those involving allegations of insider trading, manipulation, and financial misstatements. Nader is a frequent speaker at major industry events, including the SIFMA C&L Annual Conference and PLI’s Broker Dealer Regulation and Enforcement Conference.

Practice areas

Government, Regulatory and Internal InvestigationsSecurities Regulation and EnforcementSecurities and Capital Markets

Office

Expertise

Internal and government investigationsTrading and valuation issuesInsider tradingManipulationFinancial misstatements

Education

  • University of Richmond School of Law, J.D. 1995
  • University of Richmond, M.B.A. 1995
  • University of Virginia, B.A. 1992