The SEC named David Grim as the Director of its Division of Investment Management. Mr. Grim has been the Division’s acting director since February, 2015, following the departure of former Director Norm Champ.
Mr. Grim joined the SEC in September 1995 as a Staff Attorney in the Division’s Office of Investment Company Regulation. In January 1998, he moved to the Division's Office of Chief Counsel and was named Assistant Chief Counsel in September 2007. Mr. Grim was appointed as Deputy Director of the Division in January 2013, with responsibility for overseeing all aspects of its disclosure review, rulemaking, guidance, and risk monitoring functions.
Mr. Grim graduated cum laude with a degree in political science from Duke University and received his law degree from George Washington University, where he was Managing Editor of the George Washington Journal of International Law and Economics.
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