Lorna A. Schnase, Attorney at Law
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Welcome

Focus.
Lorna Schnase is an investment management lawyer, focusing her practice on the Investment Company Act of 1940, the Investment Advisers Act of 1940 and the other federal and state securities laws governing registered investment advisers and funds. Ms. Schnase practices independently, counseling both large and small clients around the country.

Experience.
Advisers and funds today must grapple with an ever-changing maze of legal restrictions and standards, under the increasingly watchful eye of the SEC and other industry regulators. Too often clients try to make their way through that maze alone or by relying on others who are not well-versed in the specific laws and regulations governing the investment management industry. With more than 20 years of experience, Ms. Schnase has the industry-specific knowledge to counsel advisers and funds on the complex legal requirements they must meet in order to stay in compliance and satisfy regulatory expectations.

Commitment.
Combining her major law firm background with her current independent perspective, Ms. Schnase is committed to providing excellent and responsive service, while mindful of the need for practical and cost-effective advice. Ms. Schnase is also committed to educating advisers and funds on important legal issues, serving as a frequent author and speaker on industry topics and making available a collection of her papers and articles as an educational resource.

 


The information on this website is for general informational purposes only. Nothing on this page or the associated pages, documents, answers, emails or other communications should be taken as legal advice for any individual case or situation. The information on this website is not intended to create, and receipt or viewing of this information does not constitute, an attorney-client relationship.