Robyn’s practice focuses on securities litigation, with a particular emphasis in SEC and FINRA investigations and litigation. On behalf of prominent financial services industry participants, Robyn regularly represents clients in federal and state court actions and in a variety of complex administrative proceedings before FINRA and other regulatory authorities. Robyn routinely represents clients in creating controls and procedures for the supervision and monitoring of broker-dealer business activity for compliance with SEC, FINRA and other regulations.
Robyn earned her law degree from New York Law School and her undergraduate degree from Lehigh University. She is admitted to practice in the State of New York and before the United States District Court for the Southern District of New York.