Michael P. Jaeger is a securities attorney with more than a decade of experience at the U.S. Securities and Exchange Commission (SEC), the Financial Industry Regulatory Authority (FINRA), and in private practice. His work has focused on examinations, enforcement, and compliance matters across the securities and financial services industry, with particular emphasis on broker‑dealers, stock exchanges, and emerging market structure developments.
Michael served as an Attorney in the SEC’s Division of Examinations, where he led examinations and risk reviews for the Broker-Dealer/Exchange Group (BDX), and the Exchange, SIPC, and PCAOB team (ESP).
Regulatory focus areas: Exchange Act Rule 15a‑6 (foreign broker chaperoning), Rule 19b‑4 and Exchange Act §§6 and 19, Reg NMS and CAT compliance, AML requirements, MSRB rules, and emerging topics including digital asset products and AI adoption.
Michael spent nearly a decade at FINRA, working across enforcement, market surveillance, and investigative functions to detect, investigate, and prosecute violations of securities laws and FINRA rules.
As a Senior Attorney in FINRA’s Department of Enforcement, Michael investigated and prosecuted complex cases involving systemic supervisory failures, fraud, and market manipulation.
Earlier in his tenure at FINRA, Michael conducted market surveillance investigations into insider trading, market manipulation, and other potentially violative conduct across equities, options, and bonds.
Michael worked in private practice at a prominent law firm advising broker‑dealers and public companies on capital market transactions, enforcement defense, and securities law compliance.
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