Christine Lombardo
USA Guide 2024
Band 2 : Investment Funds: Regulatory & Compliance
Email address
[email protected]Contact number
+1.215.963.5012Share profile
Band 2
About
Provided by Christine Lombardo
Practice Areas
Christine Lombardo, a partner in the investment management practice, advises investment managers and broker-dealers on financial regulatory matters. She concentrates her practice on securities regulation for a broad range of financial firms including retail asset managers, private fund managers, family offices, broker-dealers, other professional traders, and high-net-worth individuals. She counsels legal, compliance, and business personnel on the structure, operation, and distribution of advisory programs, including digital advisory offerings, and investment products, including hedge funds, private equity funds, venture capital funds, real estate funds, and other alternative investment products. She serves as a co-leader of the firm’s financial technology (fintech) industry team.
Before joining Morgan Lewis, she was an associate at an international law firm in New York and worked for the Division of Enforcement at FINRA.
To learn more about Christine and her experience, please go to: https://www.morganlewis.com/bios/clombardo.
Personal
Brooklyn Law School, 2008, J.D.
New York University, 2004, B.M., Cum Laude
Chambers Review
USA
Christine Lombardo is particularly adept at advising asset managers on securities regulation matters.
Strengths
Provided by Chambers
"She has deep knowledge in the space and is relied upon for practical solutions."
"She's commercial, thorough and responsive."
"She has deep knowledge in the space and is relied upon for practical solutions."
"She's commercial, thorough and responsive."