Lori A. Martin is an experienced litigation and enforcement attorney whose practice focuses on litigation and regulatory proceedings involving investment advisers, open and closed-end investment companies, hedge funds, and broker dealers offering investment advisory services. She was selected as the “Mutual Funds Law Lawyer of the Year” in the New York area by the Best Lawyers in America® 2014.
In various editions of Chambers USA, clients praise Ms. Martin as a “very smart and knowledgeable” and “incredibly hard-working and smart” practitioner, “an excellent negotiator” and “a practical and intelligent adviser,” and she is “held in high regard for her expertise in handling complex securities litigation related to mutual funds.” The Legal 500 United States describes her as “an unparalleled star, being very smart, conscientious and experienced with both commercial and regulatory litigation.”
Ms. Martin is a frequent participant in industry conferences regarding the investment advisory industry and complex litigation. She has authored numerous publications on securities litigation. She is a member of the following committees and bar associations :
- Member, The American Law Institute (ALI) Council
- Vice Chair, Investment Companies and Investment Advisers Subcommittee of the Committee on Federal Regulation of Securities, Business Law Section, American Bar Association
- Member, Hedge Funds Subcommittee of the Committee on Federal Regulation of Securities, Business Law Section, American Bar Association
EDUCATION :
- JD, University of Chicago Law School, 1988
- AB, Political Science (with Departmental Honors) and Sociology, Wellesley College, 1985
ADMISSIONS : New York, District of Columbia, Pennsylvania
CLERKSHIPS : The Hon. W. Eugene Davis, US Court of Appeals for the Fifth Circuit, 1988 – 1989
Cost
Rate : $$$