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“A leading adviser to special committees, Philip Khinda has represented individual, corporate, and board committee clients in many of the most significant securities matters over the last 20 years, including government investigations and litigation involving Rite Aid, Enron, Adelphia, Global Crossing, AOL Time Warner, UBS and JPMorgan, among others. He is also well-known for the […]
“Brad Karp is Wall Street’s lawyer of choice. No lawyer in the United States has represented more financial institutions, more successfully, in more regulatory and litigation matters of consequence arising out of the financial crisis than Brad Karp. Not only is Brad Wall Street’s protector, but he also runs one of the nation’s leading law […]
Dixie Johnson, co-head of Fried Frank’s Securities Enforcement and Regulation practice, “is a lawyer’s lawyer. She is a meticulous and thoughtful problem solver whose excellent judgment and calm temperament makes her one of the best in the profession. And on top of all that, she has a heart of gold!”
Herb Janick conducts a general securities regulatory and enforcement defense practice that draws on his experience as general counsel of UBS Financial Services (formerly Painewebber Inc.) and a senior member of the SEC’s Enforcement Division. Herb’s practice includes conducting internal investigations and reviews, providing advice concerning compliance systems and controls, and representing broker-dealers, investment advisors, hedge […]
“One of the country’s leading securities enforcement and white collar defense attorneys, Lawrence Iason, is one who you rarely read about. That is because while well-known for high-profile representations, many of his greatest successes are for clients who never become known to the public and that is the person you want on speed dial when […]
“Thomas Hanusik is a 12-year veteran from both the DOJ and SEC. One of the original prosecutors on the Enron Task Force, Tom has build a strong practice of defending clients with troubles at both the DOJ and SEC. Known for his creative legal strategies and tenacity when the situation demands, Tom counsels corporations and […]
Reid Figel is a partner at Kellogg Huber Hansen. He represents corporations, financial institutions, and individuals in federal and state criminal and regulatory matters, and in complex financial litigation. His practice centers on securities, banking, and antitrust law enforcement; Foreign Corrupt Practices Act; internal corporate investigations; administrative law; and complex civil litigation. Prior to joining […]
“Long considered the dean of the SEC bar, Ralph Ferrara has been a counselor of choice to public companies and senior executives in the most serious securities investigations and litigation over his 30 year career in private practice, including Global Crossing, MicroStrategy, Waste Management, and Shell/Royal Dutch Ahold, among many others. He also served as […]
“Doug Davison possesses a rare combination of skills that makes him incredibly effective: an encyclopedic knowledge of the securities laws, a deep understanding of the enforcement process, and a steady hand with clients and regulators that inspires trust and confidence. Doug is well-known, well-respected, and admired for his experience, expertise, and good-natured approach to the […]
“Chuck Davidow has represented parties in SEC investigations — as well as related private securities litigation — arising out of most of the major Wall Street controversies of the last 30 years, going back to the insider trading scandal involving Ivan Boesky and others, the Salomon Brothers Treasury Auction scandal, the failure of Long-Term Capital […]