Nancy Morris Named Attorney-Fellow in the Division of Investment Management
FOR IMMEDIATE RELEASE
Washington, D.C., May 3, 2004 -- The Securities and Exchange Commission's Division of Investment Management today announced the appointment of Nancy M. Morris as an Attorney-Fellow for a two-year term. Ms. Morris was formerly Vice President and Associate Legal Counsel of T. Rowe Price Associates, Inc, in Baltimore, Md., where she was responsible for domestic and international adviser operations.
Ms. Morris will assist the Division on a wide variety of initiatives and projects. Paul Roye, Director of the Division, said, "We are pleased that Nancy has joined the Division. Her knowledge and experience in the investment adviser and mutual fund areas will be a valuable asset to us as we address the many challenging issues before the Commission in the investment management area."
Ms. Morris received her law degree from the University of Idaho College of Law in 1983 and her B.A. from Hartwick College in 1974. Prior to joining T. Rowe Price, Ms. Morris worked at Fidelity Investments in Boston, providing advice on matters involving mutual funds and investment advisers, and held various positions at the SEC for over a decade.