Colin D. Lloyd is an associate based in the New York office.
Mr. Lloyd’s practice focuses on U.S. securities, commodities and derivatives regulation, including the Dodd-Frank Wall Street Reform and Consumer Protection Act. Mr. Lloyd advises broker-dealers, banks, exchanges, electronic trading platforms, clearinghouses, private equity and hedge funds and trade associations in connection with a wide variety of transactional, regulatory, legislative and enforcement matters.
Mr. Lloyd regularly represents clients before the Securities and Exchange Commission, the Commodity Futures Trading Commission, the Financial Industry Regulatory Authority, and other federal regulatory agencies and self-regulatory organizations.
Mr. Lloyd is a frequent speaker on financial market regulatory matters, including at events organized by the American Bar Association, the Securities Industry and Financial Markets Association, the Futures Industry Association, the Institute of International Bankers and the Practicing Law Institute. He is also a contributor to
U.S. Regulation of the International Securities and Derivatives Markets (Wolters Kluwer, 2011) and the
Guide to Bank Underwriting, Dealing and Brokerage Activities (Thomson West, 2012).
Mr. Lloyd joined the firm in 2007. He was resident in the Washington office from 2007 to 2011. Mr. Lloyd received a J.D. degree,
cum laude, from Harvard Law School in 2007, where he was Managing Editor of the Harvard International Law Journal. He received an undergraduate degree,
summa cum laude, from Vanderbilt University in 2004.
Mr. Lloyd is a member of the Bars in the District of Columbia and New York.