About

The Denver Regional Office is responsible for enforcing violations of the federal securities laws and examining regulated entities such as investment advisers, investment companies, and broker-dealers.

The Denver office primarily conducts its enforcement or examination activities in Colorado, Kansas, Nebraska, New Mexico, North Dakota, South Dakota, and Wyoming.

Directors

  • Jason Burt, Regional Director
  • Nicholas Heinke, Associate Regional Director (Enforcement)
  • Thomas Piccone, Associate Regional Director (Examinations)

Contact the Office

303-844-1000 denver@sec.gov