Colin D. Lloyd

Partner, Sullivan & Cromwell LLP

Colin Lloyd is a partner in the Firm’s Commodities, Futures and Derivatives and Capital Markets Groups. He focuses on advising clients on a broad range of securities and derivatives regulatory, enforcement, transactional, and legislative matters. His clients include U.S. and non-U.S. broker-dealers, swap dealers, banks, exchanges, electronic trading platforms, clearinghouses, private equity funds, investment managers, sovereigns, and derivatives end users. He regularly represents clients before various federal regulatory agencies, including the Commodity Futures Trading Commission, the U.S. Securities and Exchange Commission, the Financial Industry Regulatory Authority, as well as other federal regulatory agencies and self-regulatory organizations.

Colin is recognized as a leader in his practice by Chambers USA, IFLR1000 and The Legal 500 United States. He has also been named to Bloomberg Law’s 2023 “They’ve Got Next: The 40 Under 40” list, recognized as a “Cryptocurrency, Blockchain, and FinTech Trailblazer” by The National Law Journal, a Law360 “Rising Star” and a “Future Leader” by the Institute of International Finance.

Colin’s work on derivatives and foreign exchange matters has included the development of path breaking derivatives products and transactions, providing regulatory guidance and updates to trade associations and self-regulatory organizations, and developing a comprehensive compliance manual widely used by registered swap dealers as the foundation for their compliance policies and procedures.

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