Simon M. Lorne

Program Fellow
  • Millennium Management LLC
    Vice Chairman & Chief Legal Officer

Mr. Lorne oversees Millennium's compliance, legal, regulatory, management control, and audit functions. Prior to joining the company, he was a Partner at the law firm of Munger, Tolles & Olson LLP (1970 - 1993; 1999 - 2004), where his practice focused on corporate governance, mergers and acquisitions, and corporate finance. Mr. Lorne also served as General Counsel of the United States Securities and Exchange Commission (1993 - 1996). After leaving the SEC, he held senior legal and compliance positions at Citicorp and predecessor firms Salomon Brothers and Travelers Group and then returned to private practice at Munger, Tolles & Olsen LLP before joining Millennium. Currently, Mr. Lorne also serves as the Chairman of the Alternative Investment Management Association.