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Christine’s practice focuses on regulatory, transactional and enforcement matters related to commodities, derivatives and banking laws and regulations, including trading- and exchange-related matters and compliance and regulatory issues relating to Title VII of the Dodd-Frank Wall Street Reform and Consumer Protection Act. 

Qualifications

  • Yale University Law School, 2006, J.D.
  • Yale University, 2000, B.A.

  • New York

  • American Bar Association, Business Law Section
    • Derivatives and Futures Law Committee
      • Innovative Digitized Products and Processes Subcommittee
  • New York City Bar Association, Futures & Derivatives Regulation Committee (Past Member)
  • Futures Industry Association, Law and Compliance Division 
  • North Star Fund, Board of Directors 
  • Smack Mellon, Board of Directors