FacultyFaculty/Author Profile

Christina Y. Lee

Morgan Stanley
Executive Director, Legal and Compliance
New York, NY, USA


Christina Lee is an executive director in the Legal and Compliance Division of Morgan Stanley.  Ms. Lee is lead ERISA counsel for the institutional broker dealer and the asset management businesses of Morgan Stanley.  She counsels these business units on all issues arising under Title I of ERISA.  Prior to joining Morgan Stanley in 2011, Ms. Lee was an attorney at Allen & Overy LLP representing clients in all aspects of employee benefits and executive compensation.

Ms. Lee received her JD from the University of Southern California Gould School of Law, where she was an editor of the Law Review and a Bachelor of Science, with distinction, from the University of Michigan, Ann Arbor.   Ms. Lee is admitted to practice in New York.

Christina Y. Lee is associated with the following items:
Web Segment  Web Segment Other Current Plan-Related Issues for Financial Institutions - Pension Plan Investments 2017: Current Perspectives, Wednesday, May 17, 2017
ERISA: The Fiduciary Regulation- Where Are We and What’s Next? - ERISA 2017: The Evolving World, Wednesday, August 02, 2017
MP3 Audio  MP3 Audio Other Current Plan-Related Issues for Financial Institutions - Other Current Plan-Related Issues for Financial Institutions, Wednesday, May 17, 2017
ERISA: The Fiduciary Regulation- Where Are We and What’s Next? - ERISA: The Fiduciary Regulation- Where Are We and What’s Next?, Wednesday, August 02, 2017
Transcripts  Transcripts Other Current Plan-Related Issues for Financial Institutions - Other Current Plan-Related Issues for Financial Institutions, Wednesday, May 17, 2017
ERISA: The Fiduciary Regulation- Where Are We and What’s Next? - ERISA: The Fiduciary Regulation- Where Are We and What’s Next?, Wednesday, August 02, 2017
MP4 - Mobile Video Seg  MP4 - Mobile Video Seg Other Current Plan-Related Issues for Financial Institutions - Other Current Plan-Related Issues for Financial Institutions, Wednesday, May 17, 2017
ERISA: The Fiduciary Regulation- Where Are We and What’s Next? - ERISA: The Fiduciary Regulation- Where Are We and What’s Next?, Wednesday, August 02, 2017
On-Demand Web Programs  On-Demand Web Programs Pension Plan Investments 2017: Current Perspectives, Tuesday, May 23, 2017, New York, NY
ERISA 2017: The Evolving World, Tuesday, August 08, 2017, New York, NY
Live Seminar  Live Seminar ERISA Plan Investments in Financial Markets 2018: The Fundamentals, Monday, March 19, 2018, New York, NY
Live Webcast  Live Webcast ERISA Plan Investments in Financial Markets 2018 , Monday, March 19, 2018, New York, NY
PLI Grpcast-Live Web  PLI Grpcast-Live Web ERISA Plan Investments in Financial Markets 2018: The Fundamentals, Monday, March 19, 2018, Boston, MA
ERISA Plan Investments in Financial Markets 2018: The Fundamentals, Monday, March 19, 2018, Cleveland, OH
ERISA Plan Investments in Financial Markets 2018: The Fundamentals, Monday, March 19, 2018, Philadelphia, PA
ERISA Plan Investments in Financial Markets 2018: The Fundamentals, Monday, March 19, 2018, Mechanicsburg, PA
ERISA Plan Investments in Financial Markets 2018: The Fundamentals, Monday, March 19, 2018, Atlanta, GA
ERISA Plan Investments in Financial Markets 2018: The Fundamentals, Monday, March 19, 2018, Indianapolis, IN
ERISA Plan Investments in Financial Markets 2018: The Fundamentals, Monday, March 19, 2018, Pittsburgh, PA
ERISA Plan Investments in Financial Markets 2018: The Fundamentals, Monday, March 19, 2018, New Brunswick , NJ
Share
Email

  • FOLLOW PLI:
  • twitter
  • LinkedIn
  • GooglePlus
  • RSS

All Contents Copyright © 1996-2017 Practising Law Institute. Continuing Legal Education since 1933.

© 2017 PLI PRACTISING LAW INSTITUTE. All rights reserved. The PLI logo is a service mark of PLI.