Lawrence P. Stadulis

Larry Stadulis


Lawrence Stadulis advises clients in matters pertaining to the registration and regulation of investment advisers and investment companies under federal and state securities laws. He also manages related issues pertaining to investment advisers and investment companies, including matters involving ERISA, broker-dealer regulation and banking laws.

Larry is a frequent lecturer and author on legal matters pertaining to the investment management industry. He prepares a monthly column on recent SEC developments for The Investment Lawyer, a legal publication that focuses on the investment management industry.

Read More



Bar Admissions
  • District of Columbia
  • New York
  • J.D., Boston College Law School
  • B.A., magna cum laude, Boston College

Speaking Engagements

  • Speaker, “The DOL, the SEC and the States: Fiduciary Law Developments,” Stradley Ronon Briefing on Fiduciary Law Developments
  • Presenter, “Legal Issues Impacting the Use of Social Media to Market Investment Management Services”
  • Co-Presenter, “Valuation: Best Practices and Fiduciary Standards,” National Regulatory Service
  • Panelist, “The CCO's Point of View: Making Sense of Recent Regulations and Enforcement Proceedings,” Stradley Ronon seminar
Read More


  • Chambers USA: America’s Leading Lawyers for Business, listed in nationwide investment funds: registered funds
Read More
Back to top