About
Lori 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 three times named "Mutual Funds Law Lawyer of the Year" in New York by Best Lawyers in America 2014, 2020 and 2024.
Practice areas
Class ActionsCross-Border Investigations and ComplianceERISA LitigationInvestigationsInvestment ManagementLitigationSecurities EnforcementSecurities LitigationSPAC (Special Purpose Acquisition Company Transactions)
Office
Expertise
Investment AdvisersInvestment CompaniesHedge FundsBroker-DealersMutual Funds
Education
- University of Chicago Law School, J.D. (1988)
- Wellesley College, A.B. (1985)
Admissions
- New York
- District of Columbia
- Pennsylvania
