During law school, Mr. Silvia clerked with Chairman J. Christopher Giancarlo at the U.S. Commodity Futures Trading Commission and held internships with the Division of Enforcement at the U.S. Securities and Exchange Commission, Standard Chartered Bank, the Financial Services Roundtable, and the Chicago-Kent Entrepreneurship Clinic.
Mr. Silvia is admitted to the New York bar.
- IIT Chicago-Kent School of Law (J.D. 2017)
- Wake Forest University (B.A. 2011)
- “Registered Investment Adviser vs. Exempt Reporting Adviser,” co-authored with Gary J. Ross, Bloomberg Law, August 2018
- Andrew Silvia, “Madden v. Midland Funding LLC: Uprooting the National Bank Act’s Power of Preemption” 92 Chi.-Kent L. R., no. 2 at 263 (2017).