Securities

Jill Gross

Professor Jill Gross is the director the Investor Rights Clinic at Pace Law, and teaches the Investor Rights Clinic Seminar, Mediation and Arbitration, and Securities Litigation and Enforcement.  Professor Gross is also the law school’s Director of Legal Skills, and she oversees and provides leadership on all matters related to curricular skills training, including writing programs, advocacy programs, clinics, externships, and simulation. She is also an arbitrator for FINRA Dispute Resolution and the National Futures Association.

Prior to joining the Pace Law faculty, Professor Gross was an attorney in the New York City firms of Kaye Scholer LLP, Morvillo Abramowitz Grand Iason & Silberberg, and Parcher Hayes & Snyder, representing clients in white collar criminal and securities enforcement proceedings, securities arbitrations, and other commercial litigation.

Professor Gross is the author of the book, Investor’s Guide to Securities Industry Disputes: How to Prevent and Resolve Disputes with your Broker, and has published numerous law review articles in the area of dispute resolution and investor justice.

Areas of expertise: securities, arbitration

Andrew Lund

Prior to joining the Pace faculty, Professor Andrew Lund was an associate at the New York City firm Sullivan & Cromwell LLP, where he practiced in the areas of employee benefits, executive compensation, and mergers and acquisitions. He has also clerked for the Honorable Rhesa H. Barksdale, Judge of the United States Court of Appeals for the Fifth Circuit.

Professor Lund teaches Corporations & Partnerships and Securities Regulation at Pace Law. He has published articles on topics including public companies’ corporate governance mechanisms and executive compensation.

Areas of expertise: corporate governance, executive compensation, securities

Skip to toolbar