FacultyFaculty/Author Profile
Lori A. Martin

Lori A. Martin

WilmerHale LLP

New York, NY, USA


Lori A. Martin is partner in the securities and litigation/controversy departments of WilmerHale LLP, where she is resident in the New York office. She represents investment advisers, open and closed-end investment companies, hedge funds, and broker dealers offering investment advisory services in regulatory proceedings and civil litigation. Prior to joining WilmerHale, she was First Vice President and Assistant General Counsel of Merrill Lynch Investment Managers.

Her representative publications include: "Litigation Under the Investment Company Act of 1940," Vol. 2, Chapter 26 Mutual Fund Regulation (Practicing Law Institute, 2011) (Clifford E. Kirsch, ed.); "Supreme Court Endorses Gartenberg, But It's Not the Same Old Standard," WilmerHale Client Alert (April 5, 2010) (with Matthew A. Chambers); "Enforcement Trends and Themes," Investment Management Institute (Practicing Law Institute, 2007-2011); "State Regulators and the Mutual Fund Industry," 39 The Review of Securities & Commodities Regulation 219 (Nov. 15, 2006) (with Cristina Alger); and "Emails and the Recordkeeping Obligations of Investment Advisers," 12 The Investment Lawyer 16 (February 2005).

Ms. Martin’s recent speeches include: “Mutual Fund Civil Litigation: The Year in Review," panel presentation at the Mutual Funds and Investment Management Conference, sponsored by the Investment Company Institute and the Federal Bar Association (Palm Desert, California) (March 29, 2011); "Litigation and Enforcement," panel presentation at the Investment Management Institute 2011 program, sponsored by the Practicing Law Institute (New York, New York) (February 11, 2011); "Litigation Involving Mutual Funds," panel presentation at the Fundamentals of Mutual Funds 2010 conference, sponsored by the Practicing Law Institute (New York, New York) (June 9, 2010); "Mutual Fund Sales Practices," panel presentation at the Securities Industry and Financial Markets Association Compliance and Legal Division Annual Seminar (National Harbor, Maryland) (May 7, 2010); One-Hour Briefing: "Jones v. Harris Associates and the Supreme Court's Ruling on Advisers' Fees," sponsored by the Practicing Law Institute (April 20, 2010); "Litigation Horizon," panel presentation at the Investment Company Institute and Independent Directors Council conference on Jones v. Harris: Impact and Implications (Washington, D.C.) (April 14, 2010); "Ethical Decision-Making and Lessons Learned from SEC Enforcement Cases," panel presentation at National Regulatory Services webinar for adviser compliance officers (March 11, 2010).

Ms. Martin graduated with honors from the University of Chicago School of Law in 1988, where she was a member of the University of Chicago Law Review. She graduated with honors from Wellesley College in 1985.
Lori A. Martin is associated with the following items:
Transcripts  Transcripts Litigation and Enforcement - Litigation and Enforcement , Monday, April 12, 2010
Litigation Involving Mutual Funds - Litigation Involving Mutual Funds , Monday, June 11, 2012
Litigation - Litigation , Friday, March 15, 2013
Fund Litigation - Fund Litigation , Tuesday, April 30, 2013
Treatise Chapters  Treatise Chapters Litigation Under the Investment Company Act of 1940; And Appendix 35A: Section 36(b) of the 1940 Act - Mutual Funds and Exchange Traded Funds Regulation , Thursday, November 17, 2011
CHB Chapters  CHB Chapters The Investment Management Institute: Enforcement Trends and Themes - Investment Management Institute 2012 , Thursday, February 09, 2012
Excessive Fee Litigation and The Investment Company Act of 1940 - Fundamentals of Mutual Funds and Exchange-Traded Funds 2012 , Wednesday, June 06, 2012
John Gallus v. Ameriprise Financial, Inc. (C.A. 8, Mar. 30, 2012) Case No. 11-1091 - Fundamentals of Mutual Funds and Exchange-Traded Funds 2012 , Wednesday, June 06, 2012
Enforcement Trends and Themes - Investment Management Institute 2013 , Thursday, March 07, 2013
Excessive Fee Litigation and the Investment Company Act of 1940 - Basics of Mutual Funds and Other Registered Investment Companies 2013 , Wednesday, April 24, 2013
Audio CD  Audio CD Investment Management Institute 2012 , Thursday, March 08, 2012 , New York, NY
Fundamentals of Mutual Funds and Exchange-Traded Funds 2012 , Tuesday, July 10, 2012 , New York, NY
DVD Video  DVD Video Investment Management Institute 2012 , Thursday, March 22, 2012 , New York, NY
Fundamentals of Mutual Funds and Exchange-Traded Funds 2012 , Tuesday, July 24, 2012 , New York, NY
Web Segment  Web Segment Litigation Involving Mutual Funds - Fundamentals of Mutual Funds and Exchange-Traded Funds 2012 , Monday, June 11, 2012
Litigation - Investment Management Institute 2013 , Friday, March 15, 2013
Fund Litigation - Basics of Mutual Funds and Other Registered Investment Companies 2013 , Tuesday, April 30, 2013
MP3 Audio  MP3 Audio Fundamentals of Mutual Funds and Exchange-Traded Funds 2012: Litigation Involving Mutual Funds - Litigation Involving Mutual Funds , Monday, June 11, 2012
Basics of Mutual Funds and Other Registered Investment Companies 2013: Fund Litigation - Fund Litigation , Thursday, May 02, 2013
MP4 - Mobile Video Seg  MP4 - Mobile Video Seg Fundamentals of Mutual Funds and Exchange-Traded Funds 2012: Litigation Involving Mutual Funds - Litigation Involving Mutual Funds , Monday, June 11, 2012
Basics of Mutual Funds and Other Registered Investment Companies 2013: Fund Litigation - Fund Litigation , Thursday, May 02, 2013
On-Demand Web Programs  On-Demand Web Programs Fundamentals of Mutual Funds and Exchange-Traded Funds 2012 , Tuesday, June 26, 2012 , New York, NY
Investment Management Institute 2013 , Friday, March 22, 2013 , New York, NY
Basics of Mutual Funds and Other Registered Investment Companies 2013 , Wednesday, May 08, 2013 , New York, NY
LiveSeminar  Live Seminar Fundamentals of Mutual Funds and Exchange-Traded Funds 2012 , Wednesday, June 06, 2012 , New York, NY
Basics of Mutual Funds and Other Registered Investment Companies 2013 , Wednesday, April 24, 2013 , New York, NY
Investment Management Institute 2013 , Thursday, March 07, 2013 , New York, NY
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