Michael C. Miller

Miller & Co. Chambers

Attorneys in Firm – 2
Michael C. Miller is a Barrister-at-Law, with 10 years experience. He regularly practices in the areas of corporate, investment funds, and securities law. Mr. Miller has extensive experience in representing investment fund administrators; securities investment advisors; and other financial institutions in matters relating to investment fund formation; incorporation and management of domestic and international business companies; and securities regulation. He has acted on behalf of clients in preparing constitutive documents, and reviewing Private Placement Memorandums to ensure compliance with the Investment Funds Act/Regulations. Mr. Miller also advises on other regulatory issues, and general corporate matters. Background: Mr. Miller was employed with the Securities Commission of The Bahamas as the Senior Compliance Officer from 1998 to 2000. During his tenure there he was involved in the areas of mutual funds, securities regulations, and compliance. Mr. Miller was an Associate in the firm of Gibson & Co. (the chambers of Allyson Maynard-Gibson) after being called to the bar in 1995. His general areas of practice included corporate, commercial, and immigration law. Education: University of Leeds, England, Bachelor of Laws (Hon.) Degree – 1994 University of Westminster, Professional Bar Course – 1995 Canadian Securities Course, CSI Global Education - 1999 New York Institute of Finance, Investment Analysis Course – 2000 Memberships: The Bar of England and Wales (Honourable Society of the Middle Temple) The Bahamas Bar Association Professional Activities: § Lecturer at the Securities Training Institute (Series 7 – General Securities Registered Representative Exam; Series 6 – Investment Companies and Variable Annuities Exam; Canadian Securities Course; Intro. to Mutual Funds) § Law Lecturer (International Business Companies Act; Investment Funds Act; Securities Industry Act; Foundations Act; Law of Trusts) § Internships at: the Ontario Securities Commission; the Investment Dealers Association of Canada; the Toronto Stock Exchange; and the New York Stock Exchange - 2000 § Securities Commission Project Manager for the launch of the Bahamas International Securities Exchange (“BISX”) – 2000 § Committee member: Investment Companies; and the Issuance & Trading of Securities: International Bar Association – 1999/2000 § Committee member: Business Law Section: New York State Bar Association – 1999/2000 § International Organization of Securities Commissions (IOSCO) Securities Training Seminar, Montreal, Canada - 1998
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Areas of Practice

  • Banking Law
  • Business Law
  • Immigration Law
  • Insurance Law
  • Intellectual Property
  • Investment Law
  • Probate, Trusts, Wills & Estates
  • Real Estate and Real Property
  • Securities Law

States of Practice

  • Florida

Countries of Practice

  • Bahamas
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