Adam Storch (born 1980) served as the first Managing Executive of the U.S. Securities and Exchange Commission's Division of Enforcement, having been hired on October 16, 2009. Adam Storch was charged with making the division more efficient. He managed strategic planning and operational aspects of the Enforcement Division. Storch played a role in the design and implementation of significant restructuring in the Enforcement Division’s history, including the creation of specialized units, the Office of Market Intelligence and the Office of the Whistleblower. Storch also was involved in the recent establishment of the Enforcement Division’s Center for Risk and Quantitative Analysis. "The Division of Enforcement was created in August 1972 to consolidate enforcement activities that previously had been handled by the various operating divisions at the Commission's headquarters in Washington," according to the SEC site.
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1980 (age 45)
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