Kevin advises clients in investigations by frontline regulators, and defends them in prosecutions or enforcement actions resulting from these agency interventions. His practice focuses on fraud, bribery, corruption, and other white collar crime. He handles cases involving the UK Bribery Act and other forms of UK Serious Fraud Office (SFO) investigations and prosecutions, as well as Financial Conduct Authority (FCA) and Competition and Markets Authority matters, including both civil and criminal outcomes from both regulators. With experience defending clients in major corruption matters in the UK and elsewhere, Kevin has counseled on many of the SFO’s highest-profile cases of the last 15 years. His global experience advising in corruption investigations includes work in continental Europe, Asia, Africa, the West Indies, and South America. He counsels on regulatory compliance issues, which entail FCA-initiated criminal prosecutions and responses to investigations. This includes drafting and implementing compliance programmes. He represents clients in some of the UK’s landmark legal matters, including his defense of the first cross-border investigation and highest-value insider dealing case ever brought in the UK. Kevin offers guidance on concerns related to investment management, insider dealing, self-invested personal pensions, spread betting and issues that arise in the insurance and banking sectors.