Practice Expertise

  • Capital Markets and Securities
  • Family Office
  • Financial Regulatory
  • Fund Formation and Management

Areas of Practice

  • Capital Markets and Securities
  • Family Office
  • Financial Regulatory
  • Fund Formation and Management
  • Investment Banking and Broker Dealer
  • Investment Management
  • Prime Brokerage and Equity Lending
  • Regulatory Compliance
  • SEC Enforcement
  • Social Media
  • View More

Profile

Daren R. Domina is a partner in the Investment Management and Private Equity Practice Groups in the New York office of Haynes and Boone, and is the head of the Broker-Dealer Regulatory Practice Group. He provides advice to private investment funds, securities broker-dealers, family offices and registered and unregistered investment advisers on a broad range of formation, structuring, registration, regulatory, compliance and inspection/enforcement/litigation matters.

Bar Admissions
New York, 1992

Education
J.D., New York Law School, 1991
B.A., Stony Brook University, 1987

Areas of Practice

  • Capital Markets and Securities
  • Family Office
  • Financial Regulatory
  • Fund Formation and Management
  • Investment Banking and Broker Dealer
  • Investment Management
  • Prime Brokerage and Equity Lending
  • Regulatory Compliance
  • SEC Enforcement
  • Social Media

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