Ranked In
District of Columbia
Litigation: Securities (Band 1)District of Columbia
Litigation: White-Collar Crime & Government Investigations (Band 2)Nationwide
Securities: Regulation: Enforcement (Band 3)Profile
Practice Areas: Oversees the firm's SEC Enforcement Practice and also practices white-collar criminal defense. Represents US public companies and foreign issuers, their directors, board committees, and executives, as well as broker/dealers, private investment firms, and law firms, in internal, SEC, CFTC, SRO, and state regulatory investigations. His criminal practice includes corporate and individual clients from four continents in US grand jury and congressional investigations and trials involving the full range of federal law issues.
Professional Memberships: American College of Trial Lawyers.
Career: Assistant US attorney (1979-86), Chief of the Securities and Commodities Fraud Unit (1984-86), Southern District of New York.