Practice Areas: Focuses on white-collar criminal defense, including regulatory matters, involving alleged insider trading, accounting fraud, and other securities fraud, foreign corrupt practices, tax evasion, false claims against the government, money laundering, price-fixing, healthcare fraud, and obstruction of justice. Court-appointed receiver in three separate SEC enforcement actions. Led numerous internal investigations for multinational companies.
Career: Admitted to practice in New York. From 1985 to 1990, served as an Assistant U.S. Attorney in S.D.N.Y. Currently Co-Chair of the firm's Securities Litigation, Enforcement, and White-Collar Criminal Defense Group.
Personal: BA, Princeton University, 1979; JD, Yale Law School, 1983.