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John Crimmins is an attorney with the U.S. Securities & Exchange Commission in Washington, DC, where he contributes to the agency’s mission of protecting investors, maintaining fair and orderly markets, and facilitating capital formation. As a member of a federal regulatory agency, he works within a highly specialized legal environment that demands precision, diligence, and a strong understanding of complex legal and policy matters. His practice reflects a broad general practice background, supporting the diverse needs of an organization at the forefront of securities law and financial regulation. Based in Washington, DC, John brings a professional, detail-oriented approach to his work and is committed to upholding the highest standards of legal analysis and public service. He understands the importance of clear communication, careful review, and thoughtful decision-making in matters that can have significant regulatory and legal consequences. His experience underscores the value of adaptability and disciplined legal judgment in a fast-paced federal setting. John Crimmins is admitted to practice in connection with Bar Number 5081575. Through his work with the U.S. Securities & Exchange Commission, he demonstrates a commitment to integrity, accountability, and the effective administration of the law. Clients, colleagues, and stakeholders benefit from his steady approach and dedication to excellence in legal service.