Anita K. Krug

Photo of Anita K. Krug
Associate Dean for Research and Faculty Development
Associate Professor of Law

Phone: (206) 543-4145
Email:

Curriculum Vitae |


Chair and panelist, Examining Market Actors, 2014 International Conference on Law and Society, May 31, 2014 (Minneapolis, MN)

Demand Side Securities Regulation, Brigham Young University School of Law, 2013 Rocky Mountain Junior Scholars Forum, Nov. 8, 2013 (Provo, UT)

Securities Laws and Unincorporated Entities, 2013 American Bar Association LLC Institute, Oct. 2013 (Arlington, VA)

Escaping Entity-Centrism in Financial Services Regulation, University of Connecticut School of Law, 2013 Junior Scholars Workshop on Financial Services Law, Jun. 14, 2013 (Hartford, CT)

Panelist, Securities Regulation: A View From Investors’ Perspectives, 2013 International Conference on Law and Society, Jun. 1, 2013 (Boston, MA)

Escaping Entity-Centrism in Financial Services Regulation, University of Washington School of Law, Faculty Colloquium Series for Ph.D. Students, Apr. 17, 2013 (Seattle, WA)

Panelist, The Regulation of Financial Market Intermediaries: The Making and Un-Making of Markets, Association of American Law Schools, Annual Meeting, Joint Program of the Securities Regulation Section and the Financial Institutions and Consumer Financial Services Section, Jan. 4, 2013 (Washington, DC)

Panelist, Revolution in the Regulation of Financial Advice: The U.S., the U.K. and Australia, St. John’s University School of Law, Fall 2012 Law Review Symposium, Oct. 12, 2012 (New York, NY)

The Modern Corporation Magnified: Managerial Accountability in Financial Services Holding Companies, University College London, Fourth Conference of the Adolf A. Berle, Jr. Center on Corporations, Law & Society, Jun. 15, 2012 (London, UK)

Panelist, Challenging the Assumptions and Impact of Domestic and International Securities Regulations as a Means to Achieve Corporate Governance Goals, Law and Society Association, Annual Meeting and 2012 International Conference on Law and Society, Jun. 8, 2012 (Honolulu, HI)

Moderator, Due Diligence and SEC Compliance, from a Business Perspective, Seattle Alternative Investment Association, May 16, 2012 (Seattle, WA)

Panelist, Changes to the Investment Advisers Act of 1940, 32d Annual Northwest Securities Institute, Apr. 13, 2012 (Seattle, WA)

Corporations Beyond Corporate Law, University of Washington School of Law, Faculty Colloquium, Mar. 1, 2012 (Seattle, WA)

Guest presenter, Seminar on the Economic Analysis of Law, University of British Columbia Faculty of Law, Jan. 16, 2012 (Vancouver, BC, Canada)

Panelist, Panel of the Section on Financial Institutions and Consumer Financial Services, Rubber Hits the Road: Implementing Dodd-Frank Amid Reform Fatigue, Association of American Law Schools, Annual Meeting, Jan. 8, 2012 (Washington, DC)

Dodd-Frank and Private Fund Regulation, Gonzaga University School of Law, The Dodd-Frank Wall Street Reform and Consumer Protection Act Symposium, Nov. 4, 2011 (Spokane, WA)

Corporations Beyond Corporate Law: The Failure of the Corporate Governance Paradigm in U.S. Investment Company Regulation, Canadian Law and Economics Association, Annual Meeting, Sep. 23, 2011 (Toronto, ON, Canada)

Corporations Beyond Corporate Law: The Failure of the Corporate Governance Paradigm in U.S. Investment Company Regulation, Midwestern Law and Economics Association, Annual Meeting, Indiana University Maurer School of Law, Sep. 16, 2011 (Bloomington, IN)

Corporate Law at the Crossroads of Private and Public Law, University of Queensland, Symposium on Private and Public Law -- Intersections in Law and Method, Jul. 21, 2011 (Brisbane, Australia)

Multilateral Convergence in Investment Laws and Norms, University of Hong Kong, Asian International Economic Law Network 2011 Conference, Jul. 15, 2011 (Hong Kong)

Discussant, New Corporate Governance: Competing Values, Law and Society Association, 2011 Annual Meeting, Jun. 3, 2011 (San Francisco, CA)

Commentator, Globalization of Law and Corporate Law, University of Washington School of Law, Symposium on Global Law and Its Exceptions: Globalization, Legal Transplants, Local Reception and Resistance, Feb. 25, 2011

Institutionalization, Investment Adviser Regulation, and the Hedge Fund Problem, University of Washington School of Law, Faculty Colloquium, Feb. 24, 2011

Hedge Funds: Regulatory & Policy Overview, University of California, Davis School of Law, Course on the Regulation of Financial Markets and Institutions, Mar. 8, 2010

Preventing and Detecting Fraud, with Angela M. Mitchell, NSCP West Coast Regional Meeting, Feb. 22, 2010

Moving Beyond the Clamor for “Hedge Fund Regulation", Villanova University School of Law, Symposium on Financial Regulatory Reform: Genesis, Progress and Impact, Oct. 10, 2009

Hedge Funds: Regulatory Overview and Outlook, University of California, Berkeley School of Law, Summer LLM Program, Jul. 23, 2009

Critical Legal, Tax, Accounting, and Regulatory Updates, with Anthony Hassan, Vincent Calcagno, and Geoff Haynes, Bay Area Hedge Fund Roundtable, May 6, 2009

Panelist, Alternative Investments: Legal Issues and Trends, with Mark Whatley and Ben Berk, Howard Rice, Apr. 16, 2009

Panelist, Financial Crisis Panel Discussion, with Reuel Schiller and Joel Paul, University of California, Hastings College of the Law, Oct. 6, 2008

Hedge Funds, with Peter M. Rosenblum, American Law Institute - American Bar Association, Investment Management Products: Mutual Funds and Beyond, Nov. 7, 2007 (Washington, DC)

Tax and Regulatory Issues Relating to Hedge Funds, with Ben Berk and Gary P. Kaplan, Harb, Levy & Weiland, Lunch Seminar, Mar. 11, 2007

Overview and Status of Regulatory Initiatives, with William Mulligan, Infovest21 Seminar for Hedge Fund Professionals, Jan. 11, 2007

The Investment Management & Private Funds Practice Area, with André W. Brewster, Howard Rice, Litigation Department Meeting, Jul. 2006

Application of Section 13(d) to Swaps and Other Derivatives, Howard Rice, Financial Services Practice Group Meeting, Jun. 2006

Broker-Dealer Registration Issues Relating to Private Fund Finder Agreements, Howard Rice, Financial Services Practice Group Meeting, Feb. 2006

Liability Under the “Policies and Procedures” Provisions of the Investment Advisers Act, Howard Rice, Financial Services Practice Group Meeting, Aug. 2005

The New Proxy Voting Rule Under the Investment Advisers Act, Howard Rice, Private Funds Practice Group Meeting, Sep. 2003

Credit Default Swaps, Howard Rice, Financial Services Practice Group Meeting, Jul. 2002

Last updated 5/5/2014