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John Zecca

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John Zecca

Executive Vice President, Chief Legal, Risk & Regulatory Officer at Nasdaq | Nasdaq

Washington, District of Columbia, United States

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John Zecca

Summary

John Zecca is an accomplished legal executive with extensive experience in corporate law, risk management, and regulatory compliance. Currently serving as the Executive Vice President and Chief Legal, Risk and Regulatory Officer at Nasdaq, he leads a diverse team of over 250 professionals across multiple countries. His expertise spans capital markets, corporate governance, and securities regulation, making him a key player in shaping public policy initiatives that affect thousands of listed companies globally. John is also deeply involved in the oversight of Nasdaq's market surveillance technology, which plays a crucial role in investor protection. With a legal career that includes significant roles at the SEC and major law firms, he brings a wealth of knowledge and a strategic approach to legal and regulatory challenges. He is licensed to practice law in California and D.C., as well as being a solicitor in England and Wales. John is committed to fostering legal innovation and compliance in the ever-evolving financial landscape.

General

Specialist

Technical Background

Leadership Experience

Long-Term Tenure

Professional interests

Industry-specific interests

Emerging Technologies

Leadership Development

Sustainability

Innovation

Organisational experience

Corporate Experience

Consulting Experience

John Zecca

Work Experience

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Executive Vice President, Chief Legal, Risk & Regulatory Officer at Nasdaq at

Nasdaq

October 2019 - Present

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Senior Vice President and General Counsel North America at

Nasdaq

October 2010 - July 2021

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Vice President-Regulatory Surveillance at

Nasdaq

November 2005 - October 2010

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Chief Corporate Counsel at

Nasdaq

October 2001 - November 2005

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Corporate and M&A Attorney at

HOGAN LOVELLS SERVICES SOUTH AFRICA LIMITED INCORPORATED IN ENGLAND AND WALES

July 2000 - September 2001

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Counsel to SEC Commissioner at

US Securities Exchange

January 1999 - May 2000

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Senior Counsel at

US Securities Exchange

September 1997 - January 1999

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Corporate and M&A Attorney at

Arnold & Porter

October 1995 - August 1997

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Law Clerk-Honorable John H. Pratt at

Us District Court For The District Of Columbia

September 1993 - September 1995

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John Zecca

Education

University of California, College of the Law, San Francisco (formerly UC Hastings), Jd

January 1990 - January 1993

Cornell University, Bs

January 1985 - January 1989

Frequently Asked Questions about John Zecca

What is John Zecca email address?

John Zecca's primary email address is **********@nasdaq.com. To view the full verified email and additional contact details, sign up for free with Muraena.

What company does John Zecca work for?

John Zecca is a Executive Vice President, Chief Legal, Risk & Regulatory Officer at Nasdaq at Nasdaq, a company specializing in Monetary Authorities-Central Bank.

Where John Zecca graduated from?

John Zecca holds a degree in from University of California, College of the Law, San Francisco (formerly UC Hastings).

How can I directly contact John Zecca?

To contact John Zecca directly, you can use the email address **********@nasdaq.com. Complete contact information is available upon registration with Muraena.

Who is John Zecca?

John Zecca is an accomplished legal executive with extensive experience in corporate law, risk management, and regulatory compliance. Currently serving as the Executive Vice President and Chief Legal, Risk and Regulatory Officer at Nasdaq, he leads a diverse team of over 250 professionals across multiple countries. His expertise spans capital markets, corporate governance, and securities regulation, making him a key player in shaping public policy initiatives that affect thousands of listed companies globally. John is also deeply involved in the oversight of Nasdaq's market surveillance technology, which plays a crucial role in investor protection. With a legal career that includes significant roles at the SEC and major law firms, he brings a wealth of knowledge and a strategic approach to legal and regulatory challenges. He is licensed to practice law in California and D.C., as well as being a solicitor in England and Wales. John is committed to fostering legal innovation and compliance in the ever-evolving financial landscape.

John`s contact details

mail

**********@nasdaq.com

****@mail.com

**********@nasdaqomx.com

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