Michael Wible

Mike is a partner in the firm’s Corporate Transactions & Securities practice group. His practice includes counseling investment companies, investment advisers and broker-dealers on issues related to the creation and offering of investment products and services.
Richard Heller

Mike concentrates on regulatory matters, including the organization, registration and operation of investment companies and investment advisers. He has experience in the development of new products and services, the development and implementation of compliance programs, the organization of domestic and offshore investment vehicles, the operation of municipal fund securities, and the merger and acquisition of investment companies and investment advisers.

Prior to joining Thompson Hine, Mike served as Counsel for Bank One Corporation where he was responsible for advising the bank’s asset management line of business. Before Bank One, Mike served as Special Counsel in the Office of Insurance Products, Division of Investment Management at the U.S. Securities and Exchange Commission, focusing on variable annuity and variable life insurance products.

Mike is admitted to practice in Ohio, Minnesota, Washington, D.C. and Maryland.

Education

  • American University, Washington College of Law, J.D., 1987, cum laude
  • Miami University, B.A., 1984, cum laude, Phi Beta Kappa

Professional & Civic Involvement

Professional Associations

Central Ohio Compliance Association, Vice President
District of Columbia Bar Association
Ohio State Bar Association
Minnesota State Bar Association
Greater Cincinnati Mutual Fund Association