The SEC announced that Daniel S. Kahl was named chief counsel of its Office of Compliance Inspections and Examinations, where he will oversee a staff of 15 lawyers and advise OCIE's leadership on legal, technical and policy matters regarding the agency's National Exam Program. Kahl joined the SEC's Division of Investment Management in 2001 as a counsel and was later promoted to branch chief. He has since served as assistant director of the division's Investment Adviser Regulation Office. Before joining the SEC, he was an attorney at the Investment Adviser Association, FINRA and the North American Securities Administrators Association.

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