David C. Sienko

Vice President and General Counsel at Hecla Mining Company

Location:
6500 N Mineral Dr Ste 200, Coeur D Alene, Idaho, United States
Company:
Hecla Mining Company
HQ Phone:
(208) 769-4100
Wrong David Sienko?

Last Updated 11/25/2017

General Information

Employment History

Attorney With the Division of Enforcement  - Securities and Exchange Commission

Education

B.A.  - Oberlin College

law degrees  - Georgetown University

law degrees  - Marquette University

Affiliations

Associate  - Bell , Boyd & Lloyd LLC

Associate In the Corporate and Securities Section  - Locke Lord LLP

Web References  

Management | Hecla Mining Company

David C. Sienko
David C. Sienko, Vice President - General Counsel David C. Sienko was appointed Vice President and General Counsel in January 2010. Prior to his appointment, Mr. Sienko was a partner of, and practiced law with K&L Gates LLP (a law firm) and its predecessor, Bell, Boyd & Lloyd, LLP, from 2004 to January 2010, where he specialized in counseling public and private entities on compliance with securities laws and trading market rules, mergers and acquisitions, and corporate governance. Mr. Sienko was also an associate at Bell, Boyd & Lloyd, LLP from 2000 to 2004 and an associate in the Corporate and Securities Section of Locke Lord LLP (a law firm) from 1998 to 2000, as well as an attorney with the Division of Enforcement at the U.S. Securities Exchange Commission from 1995 to 1998.

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http://www.sec.gov/Archives/edgar/data/1481905/0001481905-17-000003.txt


0001481905 Sienko David C 6500 N. MINERAL DRIVE, SUITE 200 COEUR D'ALENE ID 83815 0 1 0 0 VP & General Counsel

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Management | Hecla Mining Company

David C. Sienko
David C. Sienko, Vice President - General Counsel David C. Sienko was appointed Vice President and General Counsel in January 2010. Prior to his appointment, Mr. Sienko was a partner of, and practiced law with K&L Gates LLP (a law firm) and its predecessor, Bell, Boyd & Lloyd, LLP, from 2004 to January 2010, where he specialized in counseling public and private entities on compliance with securities laws and trading market rules, mergers and acquisitions, and corporate governance. Mr. Sienko was also an associate at Bell, Boyd & Lloyd, LLP from 2000 to 2004 and an associate in the Corporate and Securities Section of Locke Lord LLP (a law firm) from 1998 to 2000, as well as an attorney with the Division of Enforcement at the U.S. Securities Exchange Commission from 1995 to 1998.

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