Milan
Attilio brings to the table a wealth of knowledge and a deep understanding of the technology sector, which is critical in today's rapidly evolving business landscape. His practice is primarily focused on providing expert legal advice on cross-border and domestic mergers and acquisitions (M&A), private equity, and venture capital transactions.
Attilio has a rich history of advising both domestic and multinational companies as well as private equity funds through their most critical and complex M&A and investments transactions. His focus within the dynamic realms of technology industry has positioned him as a go-to legal strategist for companies seeking to navigate the intricate and often disruptive characteristic market shifts of these sectors. His tailored approach ensures that the companies he advises are well-positioned to capitalize on the opportunities presented by their investments and M&A activities, fostering growth, innovation, and competitive advantage in a rapidly evolving business landscape.
In the context of innovation, Attilio’s role as an advisor to VC firms and high-growth technology companies places him at the forefront of investments in the tech industry.
His experience covers a broad spectrum of legal disciplines and is critical in identifying and evaluating potential investment opportunities within the sector, particularly in areas prone to rapid growth and innovation. With a seasoned understanding of market trends and the intricacies of startup development, Attilio advises investors on how to allocate their capital effectively, maximizing potential returns.
He is also extensively experienced at guiding technology companies at all stages of their life cycle and his contributions is invaluable for companies transitioning from seed stage through Series A and B funding rounds and eventually to exit strategies. His guidance encompasses strategic planning, corporate governance, and the navigation of regulatory environments. Startups, with their inherent risks and potential for exponential growth, require nuanced advice to thrive, and Attilio offers tailored counsel to help these companies scale their operations, refine their business models, and attract further investment. His experience is also instrumental in preparing these companies for various exit scenarios, whether through acquisitions, mergers, or initial public offerings (IPOs), ensuring that founders and investors alike realize their ventures' full value.
Los Angeles; Santa Monica
Los Angeles; Santa Monica
For more than a decade, Nick has guided high-growth companies from inception to exit, advising on formation, financings, mergers and acquisitions, and IPOs while serving as outside general counsel on day-to-day legal matters as they scale.
Leveraging Orrick’s sector-focused approach and legal innovation tools, Nick works with companies across a range of industries, with a focus on disruptive technologies—including fintech, Web3 and blockchain, artificial intelligence, healthcare and biotech, digital media, and consumer products. He also represents top venture capital firms investing in these sectors across equity, debt, and token financings.
Prior to joining Orrick, Nick was a senior counsel at Gunderson Dettmer.
Nick earned his J.D. from Loyola Law School in Los Angeles, where he was Editor-in-Chief of the Loyola of Los Angeles Entertainment Law Review and received the Otto Kaus Award for Excellence in Legal Scholarship.
Before law school, he built a career as a journalist, photographer, and publicist covering music, food, and the arts. A proud Husky, he earned his bachelor’s degree from the University of Washington.
Los Angeles
Alex represents project sponsors, developers, and private equity investors on a wide range of transactions in the energy and infrastructure sectors with a particular focus on renewable energy matters. He regularly advises clients on the development, construction, operation, purchase and disposition of solar, battery storage, wind, biomass, waste-to-energy, and other renewable energy projects.
Alex’s experience encompasses the full range of agreements for projects, including those related to engineering, procurement and construction; equipment supply; operations and maintenance; asset management; long-term services; off-take; interconnection; mergers and acquisitions; and public-private partnerships.
London
Adam is a disputes lawyer with a focus on high-stakes litigation and regulatory enforcement. He handles commercial disputes, internal investigations and regulatory enforcement matters.
Adam has acted on disputes for a wide range of commercial clients including financial institutions, professional services firms, shipping, energy and technology companies. He has pursued and defended claims (including in arbitration) for clients for breach of contract, misrepresentation, breach of fiduciary duties, negligence, breach of warranty, breach of confidence and fraud. Adam's cases are international in nature and often arise in an insolvency context in which he regularly assists clients with bringing and defending interim applications, and launching recovery and enforcement actions.
Adam also conducts internal investigations for companies and boards of directors and has represented companies, firms and individuals in regulatory inquiries and enforcement actions including those brought by the Financial Reporting Council (FRC), the Insolvency Service and the Serious Fraud Office (SFO). Adam has particular expertise in dealing with internal investigations and regulatory matters which relate to financial reporting, but has also acted in matters in the fintech, invoice finance and asset-based lending sectors. As part of his wider regulatory practice, Adam advises clients on the UK financial sanctions and export controls regime.
Recognised by Legal 500 as a recommended individual, Adam is described as “efficient and highly personable... excellent at running cases on a day-to-day basis”.
Washington, D.C.; New York
Washington, D.C.; New York
In conjunction with this work, she develops policies and procedures, records retention schedules and training materials. A significant part of her practice involves addressing data security breaches, working proactively with clients to prevent such breaches from occurring, and advising clients in responding to regulatory inquiries, investigations and enforcement actions related to privacy, information security and cybersecurity issues. She also assists numerous professional sports teams comply with data privacy concerns, consumer financing laws and payment system issues.
Beth also represents financial institutions, corporations and individuals in a wide range of matters. She advises clients in investigations, examinations and litigation initiated by the Consumer Financial Protection Bureau (CFPB), the New York Department of Financial Services (NYDFS), the Department of Justice (DOJ), the Federal Trade Commission (FTC), state attorneys general and bank regulatory agencies. She has represented financial institutions in class action litigation concerning federal and state fair lending laws, mortgage fraud, unfair and deceptive trade practices statutes, consumer fraud statutes and consumer privacy laws. She has extensive experience counseling clients in response to federal and state subpoenas and handling all aspects of e-discovery.
Over the course of her career, Beth has represented clients in matters involving simultaneous criminal, civil administrative and congressional proceedings. She has defended clients in matters relating to money laundering compliance issues and investigations and litigation by the U.S. Attorney’s Office for the Southern District of New York (SDNY), the Manhattan District Attorney’s Office, the Department of Treasury, the Securities and Exchange Commission (SEC), and various congressional committees, including the U.S. Committee on Homeland Security and Government Affairs Permanent Subcommittee on Investigations, the U.S. House Financial Services Committee and the U.S. House Committee on Oversight and Government Reform.
Beth has published and spoken on a variety of topics, including privacy, cybersecurity, electronic discovery, vendor management and consumer financial services litigation. She authored the chapter on “Oversight of Compliance and Control Responsibilities” for Navigating the Digital Age – The Definitive Cybersecurity Guide for Directors and Officers. She has been recognized for her work in Cyber Law (Data Protection and Privacy) by Legal 500 since 2013, which describes her as “outstanding on privacy and e-discovery issues,” “able to advise both on the regulatory and litigation sides of problems,” an attorney who "exceeds expectations on response and turnaround times,” “has strong industry knowledge in data security and privacy, and is able to walk the fine line between operational efficiency and regulatory compliance' when developing IT policies.” It also described her as “top notch, incredibly responsive, thoughtful, and provides advice that is both practical and efficient.”
Prior to joining Orrick, Beth was a partner at Buckley LLP where she was Co-chair of the firm’s Privacy, Cyber Risk & Data Security practice and E-discovery Committee. Previously she was an associate at Skadden, Arps, Slate, Meagher & Flom. She clerked for Federal Magistrate Judge P. Trevor Sharp of the United States District Court for the Middle District of North Carolina after law school. Beth is a Certified Information Privacy Professional (CIPP/US).
New York
In addition to troubled companies, his clients include investment funds, sponsors and other financial institutions, whom he counsels on insolvency and restructuring matters related to complex financings and securitizations. He also represents sellers and purchasers in distressed merger and asset transactions.
With significant experience across industries such as power, energy, real estate, transportation, technology, healthcare and financial services, Manny negotiates rescue and recapitalization financing transactions on behalf of both lenders and borrowers, including debtor-in-possession loans. He also litigates disputes arising in or from plan confirmations, lender liability matters, avoidance actions and liability management transactions. In addition, Manny represents clients in commercial litigation involving financial instruments and internal investigations in both state and federal courts.
Active in industry and civic organizations, Manny is involved with the American Bankruptcy Institute and the Microenterprise Project of Volunteers of Legal Services (VOLS) in New York City. He also recently served as a member of the Complex Chapter 11 Case Committee for the US Bankruptcy Court for the S.D. of Texas and the Editorial Advisory Board for Bankruptcy Law360.
Los Angeles
She advises opportunity, investment and private equity funds, institutional investors and developers on commercial real estate transactions including joint venture structuring, financing, development, acquisitions, sales, lease agreements, and other corporate real estate activities. Taylor is familiar with structuring and drafting corporate organizational agreements, financing, acquisition and disposition documents. She has experience with a variety of asset types, including commercial, mixed-use and residential properties. Further, she regularly advises startups, growth stage companies and not-for-profit organizations on their leasing transactions.
Paris
With over 15 years' experience in employment law, Hélène leverages her expertise to advise clients across all aspects of non-contentious and contentious employment law.
In particular, she assists companies of all sizes with restructurings, helping them to choose the most appropriate legal structure to bring their plans to fruition, as well as their strategic approach to employees, staff and union representatives, employment authorities and other stakeholders.
Hélène also advises employers on the management of sensitive situations, such as senior departures, the management of RPS issues, particularly in the event of alerts requiring investigations, and the management of relations with employee and union representatives.
As required, she also directly assists employers in their negotiations with unions or in mediations.
Her approach combines technical excellence with a strategic dimension, focusing on pragmatic, operational solutions.
Hélène is committed to providing comprehensive support, tailored to the specific needs of each company and considering the particularities of each case.
Silicon Valley
Silicon Valley
Dr. Yuanjia (Gina) Zhang, a patent agent in the Silicon Valley office, is a member of the Intellectual Property Group. As a patent agent, Dr. Zhang performs tasks related to patent prosecution including preparing and prosecuting patent applications.
Dr. Zhang has broad technical background and experience in materials science and engineering, electronic devices, nanotechnology, and printing technology. In particular, her technical areas include nanofabrication, semiconductors, organic electronics, molecular electronics, optoelectronics, electrophotography, inkjet printing, surface engineering, color science, and image processing.
Prior to joining Orrick, Dr. Zhang worked at Anova Law Group, where she prepared and prosecuted patent applications for large Chinese companies and prestigious universities, in industrial areas including Internet technology and semiconductor devices. Before joining Anova Law Group, Dr. Zhang was a member of research staff in Xerox Innovation Group at Xerox Corporation. Dr. Zhang also has prior industrial experiences at IBM T.J. Watson Research Center and Advanced Semiconductor Manufacturing Corporation, in Shanghai, China. Dr. Zhang’s doctoral research focused on the electronic charge injection and transport in nanoscale organic thin film transistors.
Dr. Zhang has technical publications in journals including Advanced Materials and Journal of Applied Physics. Dr. Zhang is also an inventor with six U.S. patents granted and other U.S. and foreign patent applications pending.
New York
Christine has litigated a wide range of subject matters relating to drug development, including humanized antibody technology, recombinant DNA vectors, nextgen DNA sequencing, complex chemistry and drugs for the treatment of cancer, HIV, diabetes, multiple sclerosis, depression and anxiety, immune disorders, and dermatologic conditions. Christine is experienced in other industries as well, including medical devices, semiconductors, telecommunications and electronics.
Christine’s recent successes include obtaining a trial win and injunction for a major pharmaceutical company’s blockbuster cancer drug, securing a consent judgment and recommendation for fees for two innovator companies’ treatment relating to rare cancers, and representing a biotech company in Patent Office proceedings against a major pharmaceutical company, securing a settlement of $1.25 billion.
Washington, D.C.
She frequently assists Federal Housing Administration (FHA) mortgagees with their program approval efforts, annual recertifications, compliance with and understanding of program rules and self-reporting obligations, audits by the Quality Assurance Division (QAD), inquiries from the Office of Inspector General (OIG) and enforcement actions by the Mortgagee Review Board (MRB). Melissa performs similar work related to the Ginnie Mae, U.S. Department of Housing and Urban Development (HUD) Section 184, U.S. Department of Veterans Affairs (VA Department) and U.S. Department of Agriculture Rural Housing Service loan programs. Her work also includes assisting clients with False Claims Act (FCA)-based risk assessments arising from participation in government lending programs. She represents both mortgage and reverse mortgage/Home Equity Conversion Mortgage (HECM) lenders and servicers.
In addition, Melissa’s practice focuses on the mandatory purchase of flood insurance requirements under the Flood Disaster Protection Act, which includes regularly advising lenders and servicers on the ins and outs of the federal banking agencies’, FHA’s and the government sponsored enterprises’ (GSE) flood insurance-related regulations and guidance. She also assists clients with satisfying Consumer Financial Protection Bureau (CFPB) and other regulators’ expectations for providing assistance to consumers impacted by presidentially declared disasters.
Melissa frequently counsels clients in matters arising under the Real Estate Settlement Procedures Act (RESPA), Truth in Lending Act (TILA), Consumer Financial Protection Act (CFPA), Mortgage Acts and Practices Rule (MAP), the Secure and Fair Enforcement for Mortgage Licensing Act (SAFE) and related state licensing laws, state regulation of real estate brokers and property managers, and a range of other federal and state consumer financial laws impacting lending and servicing.
Melissa has been recognized by The Legal 500 in the Financial Services: Litigation practice area. She is a former Co-Chair (2014-2017) and Co-Vice Chair (2011-2014) of the Housing Finance Subcommittee of the American Bar Association’s Consumer Financial Services Committee. She also is an active member of the Mortgage Bankers Association and National Reverse Mortgage Lenders Association.
Prior to joining Orrick, Melissa was senior counsel and a former partner at Buckley LLP. Previously, she was an associate at Howrey LLP and was a law clerk at Buckley Kolar LLP while attending law school.
New York
Her experience encompasses a wide variety of asset classes, including residential mortgage loans, consumer loans, auto loans, commercial mortgages and credit card receivables.
Marie has negotiated innovative transactions in the fintech industry. She has also represented financial institutions in connection with whole loan purchases and sales and advised loan servicers in connection with servicing operations.
Previously, Marie worked at an AI marketplace lending platform as senior legal counsel to the capital markets team.