Financial and regulatory litigation attorney David Slovick has joined Barnes & Thornburg’s Washington, D.C., office as a partner in the firm’s litigation department. Formerly a senior enforcement attorney at both the SEC and the CFTC, Slovick now regularly represents financial services firms and individuals in investigations and litigation conducted by the SEC, CFTC, FINRA, NFA and CME Group, as well as other regulators and organizations. For commentary from another Barnes partner, see “How Can Hedge Fund Managers Both Advertise and Accept Investments From Non-Accredited Employees, Friends and Family Members?” (Jun. 14, 2012).