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923 items matching filters

Noah Rushin Associate

Washington, D.C.

Noah brings a detail-oriented and analytical approach to complex technical disputes. He has conducted prior art searches, analyzed chemical compositions and manufacturing processes, and drafted detailed infringement and invalidity contentions. Noah’s experience includes preparing expert reports, post-hearing briefs, and trial demonstratives, as well as developing deposition strategies and second-chairing depositions. He has participated in two trials before the International Trade Commission, assisting with examination outlines and trial exhibit negotiations.

Noah earned his J.D. from Columbia Law School, where he served as an editor of the Columbia Science and Technology Law Review. He holds a B.S. in Chemical Engineering, with distinction, from the University of Virginia, where he was a Rodman Scholar. His technical expertise is complemented by proficiency in Matlab, SQL, and other analytical tools. Noah is admitted to practice in New York and Washington, D.C.

740

Practice:

  • Finance Sector
  • Structured Finance
  • Asset‐Backed Securities
  • Residential Mortgage‐Backed Securities
  • Derivatives
  • Fintech

Robert Moyle Partner

New York

Rob has experience with a wide variety of asset classes, including credit and charge card receivables, auto loans and leases, dealer floorplan receivables, consumer and small business loans, student loans, tender option bonds and residential mortgages. He represents a variety of market participants, including issuers, sponsors, underwriters, placement and remarketing agents, lenders, borrowers and liquidity providers. Rob also advises clients on the application of securities laws and other financial industry regulations, including Regulation AB II and the rules and regulations promulgated under the Dodd-Frank Act.

Rob joined Orrick in 2005. He serves as Hiring Partner in the New York Office and is a member of the firm’s Professional Development Committee.

Not licensed in Florida.

740

Practice:

  • Finance Sector
  • Structured Finance
  • Finance

Janet Barbiere Partner

New York

She represents banks, investment banks and other financial institutions in their roles as issuers, underwriters, placement agents, originators, loan sellers and investors in commercial mortgage loan and mezzanine loan securitizations, real estate syndications, origination and servicing programs, the acquisition and sale of interests in mortgage loans, mortgage securities, subordinated debt and mezzanine debt, as well as transactions in the secondary mortgage market.

She has advised banks and other financial institutions in analyzing and structuring a broad array of traditional and unique CMBS transactions, in the restructuring and sale of performing and non-performing commercial mortgage loans, and in connection with CMBS re-securitizations and CRE CLO securitizations. She serves on various SFIG and CREFC Committees.

Prior to joining Orrick, Janet was a partner in the New York offices of Kaye Scholer LLP, Thacher Proffitt & Wood LLP and Sidley Austin LLP.

Practice:

  • Finance Sector
  • Restructuring
  • Insolvenzschiedsverfahren
  • Kommunale Umstrukturierung und Insolvenz
  • Energy & Infrastructure
  • Mergers & Acquisitions
  • Structured Finance
  • Hochschulwesen und Studienfinanzierungen

Lorraine McGowen Partner

New York

Lorraine brings 30+ years of legal experience in bankruptcies, out-of-court restructurings, sovereign debt restructurings and creditors' rights controversies. She interfaces with auditors, government regulators, investment bankers and others, and develops and implements mediation and litigation strategies, and negotiates reorganization plans and complex corporate and finance documents. She also regularly provides commercial law and bankruptcy advice in connection with securitization, M&A, energy & infrastructure and general corporate transactions.

Lorraine has represented various stakeholders in bankruptcies, workouts, distressed debt transactions, sovereign debt restructurings, bankruptcy litigation, derivatives and distressed acquisition matters such as Suriname, Belize, Puerto Rico, Takata Corporation, Windstream, GTT, Brazos Electric Power Cooperative, Lehman, MF Global, Indiana Toll Road, Chemtura Corporation, Tronox Incorporated, South Bay Expressway, American Dream School, Detroit, General Motors and Stone & Webster.

Lorraine is Partner in Charge of Orrick’s global Inclusion & Belonging Initiatives. She previously served two terms on the firm’s 11-member Board of Directors and as a member of the Management Committee, and she also previously chaired the Restructuring Group.

As a leading Inclusion & Belonging advocate, Lorraine creates programs for the legal profession and the community. She was selected as a 2019 Rainmaker by the Minority Corporate Counsel Association (MCCA), 2025 Private Practitioner of the Year by the Metropolitan Black Bar Association, as one of Savoy Magazine’s Most Influential Lawyers for 2024, 2022, 2018 and 2015, and received Legal Outreach’s Pipeline to Diversity 2017 Champion Award and the New York City Bar Association Diversity and Inclusion 2012 Champion Award. IFLR1000 Rankings named Lorraine a leading lawyer in the U.S. She was selected by Direct Women to be a 2016 Board Institute member. She is a frequent speaker and author on bankruptcy and insolvency and diversity and inclusion.

Among her community involvement, she is a former Vice President and Board Member of the New York City Bar Association and currently co-chairs the City Bar's Digital Assets Task Force. She serves on the Board of Directors for the Institute for Inclusion in the Legal Profession and the New York Lawyers for the Public Interest, where she is chair of the board, and on the Advisory Committees for Legal Outreach and the Vance Center for International Justice of the City Bar, where she serves as co-chair of the Advisory Committee of the Vance Center.

740

Practice:

  • Finance Sector
  • Structured Finance
  • Mergers & Acquisitions
  • Residential Mortgage‐Backed Securities
  • Fintech

Dora Mao Senior Counsel

San Francisco

In addition, she advises financial services clients regularly in connection with Dodd-Frank Act compliance, Regulation AB and other securities law and regulatory compliance matters, warehouse facilities, purchase and sale agreements and template development, servicing rights and repurchase facilities.  She has also advised nonprofits in connection with financing affordable housing and economic development.

In 2012, she was seconded part-time to a finance company client, where she assisted in drafting and implementing compliance policies and procedures and related training materials.

Dora is also experienced in a broad range of securities and commercial transactions, including private and public offerings of equity and debt, mergers and acquisitions, and commercial loan origination. She has represented both issuers and investors in a wide variety of equity and debt issuances.    

Dora was Partner-in-Charge of the San Francisco office of the firm from 2000 through 2003 and serves on the firm’s Opinion Committee and Professional Development Committee.   She served on the Board of Directors of the Girl Scouts of Northern California from 2004 through 2012 and the Board of Trustees of San Francisco University High School from 2007 through 2014.

740

Practice:

  • Structured Finance
  • Asset‐Backed Securities
  • Derivatives
  • Residential Mortgage‐Backed Securities

S. Chris Min Partner

New York

Chris has broad experience with several asset classes, including credit card and charge card receivables, auto loans and leases, dealer floorplan loans, consumer loans, small business loans, and municipal bonds. Chris also regularly advises financial institutions on the application of securities laws and other regulations affecting the financial industry.

740

Practice:

  • Finance Sector
  • Structured Finance
  • Public Finance

Katharine Crost Senior Counsel

New York

Kathy's practice involves advising issuers, underwriters, servicers and institutional purchasers on complex financial transactions. She has extensive experience with the securitization of a variety of assets, including mortgages, tax liens, tobacco litigation settlement funds, utility stranded costs and student loans.

Kathy's mortgage-backed experience has involved all types of mortgages including fixed and adjustable rate first lien mortgage loans, closed end seconds, revolving home equity lines of credit, seasoned mortgage loans, reverse mortgage loans and manufactured housing contracts. She has represented many types of financial institutions, including private companies, governmental agencies and municipalities.

She has been involved in the development of a number of novel securitization structures and programs designed to achieve the client's goals. In addition to securitizations, she has been involved in establishing joint ventures, financing of assets, acquisitions of assets and litigation support and advice.

Recently, Kathy has been involved in advising clients on a number of innovative transactions that address issues arising from the financial crisis and housing and financial regulatory reform. Representative transactions include representing the sponsor and issuer of the first public offerings of private label residential mortgage-backed securities since the advent of the financial crisis, advising a federal agency on the securitization of seasoned assets, and advising the largest issuer of tax lien securitizations. She has also been involved in various initiatives to address regulatory reform proposals.

Kathy is former Chair of the Structured Finance Group. She has also served on the Firm's Executive Committee and as Chair of the Firm's Women's Initiative.


Practice:

  • Technology & Innovation Sector
  • Cyber, Privacy & Data Innovation
  • Technology Transactions
  • Technology Companies Group
  • Mergers & Acquisitions
  • Artificial Intelligence (AI)
  • California Consumer Privacy Act
  • Strategic Advisory & Government Enforcement (SAGE)

Matthew E.S. Coleman Partner

New York; Boston

Matthew helps clients comply with the Controlling the Assault of Non-Solicited Pornography And Marketing Act (CAN-SPAM), the Children’s Online Privacy Protection Act (COPPA), the California Consumer Privacy Act of 2018 (CCPA), the Fair Credit Reporting Act (FCRA), the Gramm-Leach-Bliley Act (GLBA), the General Data Protection Regulation (GDPR), the Telephone Consumer Protection Act (TCPA), and state breach notification, biometric privacy, and cybersecurity laws. He counsels on self-regulatory privacy programs, including Binding Corporate Rules, the Asia-Pacific Economic Cooperation Cross-Border Privacy Rules (APEC CBPRs); programs covering online behavioral advertising, including the Digital Advertising Alliance (DAA), the European Interactive Digital Advertising Alliance (EDAA), the Interactive Advertising Bureau (IAB), and the Network Advertising Initiative (NAI); and programs covering payment card processing. Matthew also provides compliance solutions for emerging technologies, including artificial intelligence and blockchain.

Matthew’s federal regulatory experience helps clients stay compliant and avoid regulatory scrutiny. His comprehensive data management knowledge helps him counsel beyond the letter of the law and facilitates worldwide expansion, interoperable business processes, and innovative uses of consumer data while maintaining user trust. His all-encompassing, risk-based approach involves developing and executing internal and external policies for the collection, use, disclosure, sharing, retaining, transferring, and destruction of personal information. This includes managing contractual relationships with vendors, employees, acquired entities, and creditors as well as building privacy into companies’ product development life cycle and change management strategies.

Prior to joining Orrick, Matthew was an Enterprise Privacy Solutions Manager for TrustArc (formerly TRUSTe), a San Francisco-based privacy consulting and certification firm, and an adjunct law professor of Privacy Law at Santa Clara University. Matthew is a Certified Information Privacy Manager and a Certified Information Privacy Professional with a specialization in United States privacy law.

423742

Practice:

  • Geistiges Eigentum

Dana Sublett Associate

Washington, D.C.

Before joining Orrick, Dana served as a judicial law clerk to the Honorable Todd M. Hughes of the United States Court of Appeals for the Federal Circuit.

Dana graduated magna cum laude from Duke University School of Law. She also graduated magna cum laude from Texas A&M University with a B.S. in Chemical Engineering, a minor in French, and a certificate in Engineering Therapeutics Manufacturing. Prior to law school, Dana worked as an engineer in a Texas-based semiconductor manufacturing facility.

471413

Practice:

  • Technology Transactions
  • Geistiges Eigentum
  • Trademark, Copyright & Media
  • Trade Secrets Litigation
  • Patents
  • Strategic Advisory & Government Enforcement (SAGE)

Simon Reulein Associate

Düsseldorf

Er berät Mandanten zu Fragen des geistigen Eigentums, zum Beispiel im Zusammenhang mit Lizenz- und IP-Übertragungsverträgen, F&E-Kooperationen sowie M&A-, Venture- und anderen strategischen Transaktionen, bei denen die Kommerzialisierung von IP eine wesentliche Rolle spielt.

Simon Reulein berät Mandanten auch in Fragen des strategischen Schutzes und der Durchsetzung von IP, insbesondere im Patent-, Marken- und Urheberrecht.

Vor seinem Eintritt bei Orrick war Simon Reulein als Wissenschaftlicher Mitarbeiter / Referendar bei drei renommierten internationalen Kanzleien sowie beim Bundeskartellamt tätig.

Practice:

  • Technology & Innovation Sector
  • Cyber, Privacy & Data Innovation
  • Artificial Intelligence (AI)
  • Technology Transactions
  • Strategic Advisory & Government Enforcement (SAGE)

Nicholas Farnsworth Partner

Boston

Nick provides compliance guidance on both proposed and effective laws on a federal and state level in the United States, including:

  • Controlling the Assault of Non-Solicited Pornography And Marketing Act (CAN-SPAM)
  • Children’s Online Privacy Protection Act (COPPA)
  • Illinois Biometric Information Privacy Act (BIPA) and other biometric privacy laws
  • Fair Credit Reporting Act (FCRA)
  • Gramm-Leach-Bliley Act (GLBA)
  • Section 5 of the Federal Trade Commission Act (FTC) Act
  • Telephone Consumer Protection Act (TCPA)
  • U.S. state breach notification laws
  • U.S. state privacy laws
  • U.S. artificial intelligence laws

He also counsels clients on the impact of international laws from a U.S. perspective, including the General Data Protection Regulation (GDPR), the ePrivacy Directive (ePD), and the EU Artificial Intelligence Act.

Nick helps clients develop flexible governance frameworks for the development and use of artificial intelligence in the face of ever evolving AI legislation. He also advises clients on strategies, policies and procedures for the sourcing of AI training data, the responsible use of AI by employees, the assessment of risks presented by AI tools, the design of consumer-facing AI, the negotiation of AI-related contracts and the handling of AI-related regulatory inquiries and investigations.

Nick also devotes a portion of his practice to innovative client solutions and community engagement. He was part of the Orrick team that developed Orrick’s AI Resource Center, EU AI Act reference guide, U.S. AI Law Tracker and Gen AI Policy Builder. His pro bono practice has included representing clients in immigration and innocence matters and assisting small businesses with their legal needs.

Nick has obtained the Certified Information Privacy Professional -/ United States (CIPP/US), Certified Information Privacy Technologist (CIPT) and Privacy Law Specialist (PLS) designations from the International Association of Privacy Professionals (IAPP).

Practice:

  • Technology & Innovation Sector
  • Cyber, Privacy & Data Innovation
  • Technology Transactions
  • Global Compliance & Regulatory
  • Behördliche Untersuchungen und Vollstreckungsmaßnahmen
  • Responsible Business
  • Strategic Advisory & Government Enforcement (SAGE)

Shannon Yavorsky Partner

San Francisco; London

She advises public and private companies across several sectors, including life sciences and health technology, financial services, private equity, insurance, social media and technology on a range of EU and U.S. federal and state privacy laws. Shannon’s strategic counseling advice includes, but is not limited to:

  • Advertising and payment card processing self-regulatory frameworks
  • Controlling the Assault of Non-Solicited Pornography And Marketing Act (CAN-SPAM)
  • Electronic Communications Privacy Act (ECPA)
  • EU AI Act
  • EU e-Privacy Directive (EPD)
  • EU General Data Protection Regulation (GDPR)
  • Fair Credit Reporting Act (FCRA)
  • Gramm–Leach–Bliley Act (GLBA)
  • Health Insurance Portability and Accountability Act (HIPAA)
  • National Institute of Standards and Technology (NIST) AI Risk Management Framework (AIRMF)
  • Telephone Consumer Protection Act (TCPA)
  • U.S. state breach notification laws
  • U.S. state privacy laws in California, Colorado, Connecticut, Utah, Virginia and other states

Shannon also helps clients undertake comprehensive privacy, cybersecurity and AI risk assessments, evaluates privacy, security and AI risks in corporate transactions and drafts and negotiates data-related contracts. She advises clients on cross-border data transfers, data breaches and developing global privacy and AI compliance programs.