Simon M. Lorne, Director (Class I) at Teledyne Technologies Inc.. Biography, career history and compensation sourced from SEC proxy filings.
About
Simon M. Lorne is a Senior Advisor at Millennium Management LLC, a hedge fund management company. Mr. Lorne joined Millennium Management in 2004 and held roles including Vice Chairman and Chief Legal Officer.
From March 1999 to March 2004, prior to becoming a Teledyne director, Mr. Lorne was a partner with Munger Tolles & Olson, LLP. He also previously served as a Managing Director of Citigroup/Salomon Brothers with responsibility for Legal Compliance and Internal Audit, and as the General Counsel at the SEC in Washington, D.C.
Mr. Lorne is the Chair of Teledyne's Audit Committee and a member of its Nominating and Governance Committee.
Roles
Teledyne Technologies Inc.
Director (Class I) · Current role
2004–present
Munger Tolles & Olson, LLP
Partner · March 1999 to March 2004.
1999-2004
Citigroup/Salomon Brothers
Managing Director, Legal Compliance and Internal Audit
—
U.S. Securities and Exchange Commission
General Counsel · In Washington, D.C.
—
Munger, Tolles & Olson LLP
Partner · Originally became a partner in 1972; rejoined the firm in 1999.
—
External Roles
Millennium Management LLC
Senior Advisor (former Vice Chairman and Chief Legal Officer)