John Carey is a Senior Director in NYSE Regulation. He is the senior lawyer primarily responsible for developing and interpreting the listing rules of the NYSE’s three equity listing exchanges and engaging with the SEC and other regulators on listed company issues. He also advises with respect to initial and continued listing determinations and listed company on-going compliance matters. John joined the New York Stock Exchange in 2004 and has worked there in various legal positions since then, primarily focused on listed company regulation.
Prior to joining the NYSE, John spent a number of years working in the capital markets practices of Cahill Gordon & Reindel LLP and, most recently, Skadden, Arps, Meagher & Flom LLP. John received a BA (Hons.) from University College Dublin and graduated from New York University School of Law, where he was a member of the Law Review.