Bruce Gamble

Special Counsel

Office

Washington D.C.
T: (202) 822-6762

Bruce Gamble is a member of the Firm’s institutional investor client services group. Mr. Gamble serves as liaison with the Firm’s institutional investor clients in the United States and abroad, advising them on securities litigation matters. Mr. Gamble formerly served as Of Counsel to the Firm, providing a broad array of highly specialized legal and consulting services to public retirement plans. Prior to that, Mr. Gamble was General Counsel and Chief Compliance Officer for the District of Columbia Retirement Board, where he served as chief legal advisor to the Board of Trustees and staff. Mr. Gamble’s experience also includes serving as Chief Executive Officer of two national trade associations and several senior level staff positions on Capitol Hill.

Mr. Gamble earned his Bachelor of Science in Economics from the University of Louisville and his Juris Doctor degree from Georgetown University Law Center. Mr. Gamble formerly served as a member of the Executive Board and co-chair of the investment section of the National Association of Public Pension Attorneys (NAPPA), a professional and educational organization whose membership consists exclusively of attorneys who represent public pension funds.

Education

Georgetown University Law Center, J.D., 1989

University of Louisville, B.S., 1979

Admissions

  • District of Columbia
  • New York
  • United States Supreme Court