Lauren is an associate in the asset management group. Lauren’s practice focuses on advising registered investment companies, including mutual funds, ETFs, collective investment trusts, and closed-end funds, as well as their independent trustees and investment advisers, on a wide range of regulatory, transactional, and compliance matters. She advises clients on the establishment, registration, reorganization, termination, and ongoing operation of retail and institutional fund products; the creation and implementation of compliance programs; and the preparation and review of shareholder communications and offering documents.

Prior to joining Ropes & Gray, Lauren practiced at another large international law firm, where her clients included U.S. registered investment companies, their independent trustees, and investment advisers.

Areas of Practice