Background
Gerstein, Kenneth S. was born on January 11, 1951 in Brooklyn, New York, United States.
Gerstein, Kenneth S. was born on January 11, 1951 in Brooklyn, New York, United States.
The Wharton School, University of Pennsylvania (Bachelor of Science in Economics, 1972). Temple University School of Law (Juris Doctor, 1975). Georgetown University Law Center (Master of Laws in Taxation, 1978).
Worked at Schulte Roth & Zabel Limited Liability Partnership (New York, New York) specializing in General Practice. Corporate, Banking, Securities, Bankruptcy and Debt Restructuring, Commercial Finance, Environmental, Equipment Financing and Leasing, Insurance, Litigation, Employee Benefits, Employment Law, Real Estate, Tax, Family Law and Trusts and Estates. Admitted to the bar, 1976, New New York
1980, District of Columbia.
Member, Temple Law Quarterly, 1974-1975. Special Counsel, Division of Investment Management, Securities and Exchange Commission in Washington, District of Columbia, 1975-1980.
Member, Editorial Board, The Investment Lawyer. Publications include: "Acquisitions of Mutual Fund Advisors: Some Practical Issues Under the Investment Company Acting," The Investment Lawyer, April 1994.
"Directors" Duties When Mutual Funds Bear Distribution and Promotion Expense," New York Law Journal, December 9, 1985.
Member: The District of Columbia Bar. American Bar Association (Member, Committee on Federal Regulation of Securities and Subcommittee on Investment Companies and Investment Advisers). Founded in 1969, Schulte Roth & Zabel Limited Liability Partnership is a 200 lawyer firm with offices in New York City and Palm Beach, Florida.
The firm represents a wide range of institutional, business and individual clients, including leading investment and securities firms, public and private corporations, domestic and international commercial banks, international real estate investment and development firms, fiduciaries and individuals.
Member, Temple Law Quarterly, 1974-1975. Special Counsel, Division of Investment Management, Securities and Exchange Commission in Washington, District of Columbia, 1975-1980. Member, Editorial Board, The Investment Lawyer.
Publications include: "Acquisitions of Mutual Fund Advisors: Some Practical Issues Under the Investment Company Acting," The Investment Lawyer, April 1994.
"Directors" Duties When Mutual Funds Bear Distribution and Promotion Expense," New York Law Journal, December 9, 1985. Member: The District of Columbia Bar.
American Bar Association (Member, Committee on Federal Regulation of Securities and Subcommittee on Investment Companies and Investment Advisers).