John Ramsay

John Ramsay

Chief Market Policy Officer
at
IEX
IEX
Biography

Mr. Ramsay has over two decades of experience in positions that concern the regulation and oversight of securities markets and intermediaries. While at the SEC since 2010, Mr. Ramsay led the staff’s response to numerous significant market events, its participation in global regulatory initiatives, the development of new analytical tools for equity market oversight, and the proposal for Regulation SCI. He also led SEC efforts to implement significant elements of the Dodd-Frank Wall Street Reform and Consumer Protection Act, including the Volcker Rule and derivatives reform rules. From December 2012 to February 2014, Mr. Ramsay oversaw the Division of Trading and Markets, the group responsible for regulating broker-dealers and self-regulatory organizations, such as securities exchanges and FINRA.