Martin is counsel in the Corporate & Financial Services Department, concentrating on state and federal securities law. He has significant experience representing investment advisers, private investment funds, broker-dealers and other financial entities. He advises several major investment banking firms in connection with capital market transactions, including state and federal regulatory matters, and represents several domestic and offshore hedge funds. Martin also has experience in state and federal investment adviser and broker-dealer regulation and state, SEC and FINRA regulatory and enforcement matters.


Martin is the former Chairman of the American Bar Association’s Committee on State Regulation of Securities.



New York University School of Law, LL.M., 1983 SUNY at Buffalo Law School, J.D., 1982 Michigan State University, B.A., 1979

Bar Admissions

Massachusetts, 1982 New York, 1983