Kyle P. Swan is an associate in Mayer Brown’s Washington DC office and a member of the Financial Services Regulatory & Enforcement practice. Kyle advises clients on a variety of securities law matters, with a focus on broker-dealers and other financial institutions. Kyle regularly engages with the SEC and FINRA in both a regulatory and enforcement context. Kyle also has experience advising companies who utilize distributed ledger technology and digital assets.

Prior to joining Mayer Brown, Kyle was an associate in the Investment Management group at another law firm.


Georgetown University Law Center, JD

University of Virginia, BA


  • District of Columbia