Jeremy Bloom practices in the fields of government investigations and litigation, securities arbitration, complex commercial litigation, and securities enforcement and compliance.
From March 2002 until July 2005, Mr. Bloom was an associate in the Corporate Finance Department of Skadden, Arps, Slate, Meagher & Flom in New York City. Mr. Bloom then joined the New York Stock Exchange as an attorney in its Division of Enforcement in August 2005. Mr. Bloom was Trial Counsel in NYSE Regulation's Division of Enforcement in 2007 when he, along with most of the Division of Enforcement, combined with the NASD's Enforcement Department to form the Enforcement Department of the Financial Industry Regulatory Authority (FINRA). Then, as Senior Counsel in FINRA’s Enforcement Department, Mr. Bloom conducted investigations of financial services firms and their employees for violations of the federal securities laws, MSRB, NASD, FINRA, and NYSE rules. At both the NYSE and FINRA, he also engaged in settlement negotiations and served as lead counsel in litigation with financial services firms and their employees.
Mr. Bloom received his B.A. in Political Science with Honors in 1999 from the University of Michigan, where he was a James B. Angell Scholar and was recognized with the William J. Branstrom Freshman Prize and the Sophomore Honors Award. Mr. Bloom graduated cum laude from the University of Michigan School of Law in December 2001. While attending law school, Mr. Bloom served as an Associate Editor of the Michigan Telecommunications and Technology Law Review.