Miami
His practice focuses on mergers and acquisitions, private equity investments, and securities transactions. He also counsels clients on corporate governance.
Santiago began his career at Willkie Farr in New York.
New York
Marsha’s broad transactional practice includes advising clients on complex securities and financing transactions, including initial public offerings, follow-on offerings and other equity offerings, high yield and investment-grade notes offerings, tender offers and exchange offers, mergers and acquisitions and de-SPAC transactions, as well as corporate governance and SEC compliance and disclosure matters.
Prior to joining Orrick, Marsha was at Kirkland & Ellis LLP and Cahill & Gordon LLP.
Marsha has been recognized in Super Lawyers Rising Stars (2016–2023).
Mailand
Claudia advises banks, private debt funds, sponsored investment vehicles, large corporations, and SMEs on domestic and cross-border leveraged and acquisition finance transactions, as well as corporate finance and refinancing transactions.
Before specializing in banking and finance, Claudia was also involved in M&A transactions, and she gained some experience in assisting Italian and foreign companies and private equity funds both in the corporate and in the financial aspects of acquisition and investment transactions.
New York
He has represented U.S. and multi-national corporations engaged in a wide variety of industries, including retailing, radio and television broadcasting, automotive parts, printing and publishing, refining and packaging of petroleum products, manufacturing and distribution of wines, spirits and related products, hotels, food service, financial institutions, passenger airline, and freight forwarding companies.
Herbert has extensive experience in negotiating collective bargaining agreements, and has represented clients in a broad range of labor matters, including: union election and unfair labor practice cases, arbitrations and strike related matters. His practice also includes federal and state court and administrative agency litigation covering employment discrimination, wrongful discharge, ERISA, and wage-and-hour matters.
He has participated in establishing security programs for clients, helped design benefit plans, employment handbooks, and worked with clients on affirmative-action compliance reviews and safety and health matters. He has drafted and negotiated employment agreements, and has done extensive work in counseling and representing clients in merger and acquisition problems including negotiations with adverse parties, unions, and insurance carriers.
Herbert started his practice as an attorney for the National Labor Relations Board, and then worked for Proskauer, Rose, Goetz, & Mendelsohn. From 1972 to 1990, Herbert was a partner at the firm of Baer, Marks & Upham, where he chaired the employment law department, and was instrumental in building a labor and employee benefits practice.
He joined Orrick in 1991, and continued as a partner until 2002, when he retired from the partnership in order to devote more of his time to family obligations. He has continued to practice with Orrick since that time as counsel.
New York
David is a partner in Orrick's Complex Litigation and Dispute Resolution Practice Group based in New York and co-head of Orrick's Bankruptcy Litigation Working Group. His practice focuses on representing lenders, underwriters, and large public and private companies in financial disputes throughout the litigation process, from pre-litigation dispute resolution to success at trial.
David has litigated high-stakes bench and jury trials and pretrial proceedings involving nine-figure secured claims in bankruptcy, multi-billion dollar securities offerings, complex long-term supply contracts, and valuable trademarks.
David also has years of experience litigating distressed asset and syndicated loan trades, contract disputes, and residential mortgage-backed securities issuances for both plaintiffs and defendants. David's background in computer science and mathematics allows him to quickly master complex financial transactions and craft effective litigation strategies for his clients.
Before joining Orrick, David was an associate at Cravath, Swaine & Moore LLP.
Washington, D.C.
John helps clients navigate the complex maze of federal and state laws and regulations. He regularly counsels clients on compliance with regulations issued by the Consumer Financial Protection Bureau (CFPB) as well as examination and enforcement actions by the bureau, federal banking agencies, state regulators and other enforcement agencies. He advises on the laws governing licensing and chartering, usury, advertising, disclosures, privacy, lending and servicing practices, and laws prohibiting unfair, deceptive, or abusive acts or practices (UDAAP).
He advises financial services firms on new product and business line development, including structuring and negotiating commercial relationships, joint ventures and partnership agreements. He also assists financial and strategic purchasers of fintechs and financial services firms on regulatory matters, including due diligence of companies, assets and portfolios, and transactional structuring in light of federal and state licensing and regulatory requirements.
John is recognized by Chambers USA as a leading attorney in the field of Consumer Finance Compliance and has been noted by The Legal 500, in the practice areas of Financial Services Regulation, Cyber Law (including Data Protection and Privacy), and Fintech. He frequently speaks at industry conferences on legal issues affecting consumer finance companies. John is a co-author of a number of publications, including Residential Mortgage Lending: State Regulation Manual; Residential Mortgage Lending: Brokers; Pratt’s State Regulation of Second Mortgages and Home Equity Loans; Mortgage Bankers Guide to Regulatory Compliance and The Law of Electronic Signatures and Records, and has written numerous articles for consumer financial services industry publications.
John is Fellow of the American College of Consumer Financial Services Lawyers, served on the Advisory Council of the American Association of Residential Mortgage Regulators from 1998-2018, was a Board member of the Online Lending Policy Institute from 2016-2021 and is a past Chair of the Housing Finance Subcommittee of the Consumer Financial Services Committee of the Business Law Section of the American Bar Association.
Prior to joining Orrick, John was a partner at Buckley LLP. He served as Buckley’s Co-Managing Partner from 2009-2019 and was a member of the firm’s partner board from 2019-2022.
Seattle
With an emphasis on project development and tax-driven finance, Jeff advises developers, sponsors, lenders, investors and utilities across the renewable energy spectrum. He has extensive experience guiding clients on complex tax equity transactions to finance and develop utility-scale solar and wind, distributed solar, geothermal, fuel cell, biomass and other projects that promote a low carbon energy transition.
Previously, Jeff spent four years working as a litigation consultant, an experience that equipped him with a deep understanding of the factors that lead to litigation and effective ways to prevent it.
New York
B. J. is also the Senior Outside Legal Advisor to The Innocence Project, an organization dedicated to exonerating wrongly-convicted prisoners through DNA testing and reforming the criminal justice system to prevent future injustice.
Mailand
As a partner resident in Orrick’s Milan office and a senior member of the M&A and Private Equity Group, Guido is acclaimed for his broad expertise and comprehensive knowledge in the field.
In the area of M&A, he regularly assists leading corporations, investment holding companies, and family offices in structuring and negotiating domestic and cross-border mergers, acquisitions, and strategic alliances. His experience extends across a range of industries, with a particular focus on the industrial and healthcare sectors, where he is known for his ability to manage sophisticated transactions and deliver practical solutions.
Guido’s private equity practice is distinguished by his work with both investment funds and, above all, entrepreneurs. Guido is a key legal partner to Italian entrepreneurs, advising on all aspects of corporate law and governance. He is valued for his ability to act as a business partner, providing ongoing counsel on day-to-day operations as well as long-term planning and extraordinary transactions. Clients rely on his deep sector knowledge, commercial acumen, and pragmatic approach to navigate complex legal and business challenges. Moreover, he advises investment funds on the structuring and execution of acquisitions and disposals, helping them identify opportunities, manage legal risks, and achieve their strategic objectives in the Italian market.
In the area of joint ventures, Guido has significant experience advising on the formation and management of strategic partnerships and alliances, enabling clients to pursue growth opportunities and innovation in highly competitive markets.
Guido also has extensive cross-border experience, regularly assisting international corporate and funds investing in Italy as well as Italian corporate and funds pursuing opportunities abroad, ensuring seamless execution and effective cross-border coordination.
Guido is recognized as a Leading Partner in Private Equity by Legal 500. He is ranked in Chambers Europe for Private Equity and for Corporate/M&A: Mid-Market, reflecting his strong reputation and expertise in the Italian legal market.
New York
Hagit represents clients in international arbitrations across the world under the rules of all the major arbitral institutions including the ICDR/AAA, ICC and LCIA, SIAC, HKIAC, JAMS and CPR and in cross-border disputes in courts across the United States. She has also served as an expert witness on New York law in proceedings in Canada and the United Kingdom.
Hagit is recognised as ‘a force to be reckoned with’ (Legal 500) who ‘thinks ten steps ahead’’ (Chambers) and has “astonishing legal skills”, including the ability “to analyze and sharpen arguments”. She was recognized as one of a select group of "Distinguished Leaders" by New York Law Journal (2021).
Hagit regularly teaches courses on arbitration and advocacy skills, sits as arbitrator and frequently writes and lectures on topics related to international business disputes. She is a member of the ICC Court of International Arbitration Commission, former chair of the Arbitration Committee of the International Institute of Conflict Prevention & Resolution (CPR), a current member of the CPR Council, ICC Commission, and a founding Board Member of the New York International Arbitration Center.
Boston; Washington, D.C.
Boston; Washington, D.C.
She has advised clients across industries such as technology, pharmaceutical, finance, and consumer products.
Amisha partners with in-house counsel to devise and execute strategies that align with advancing their overall business goals. She has experience at all stages of litigation – including drafting pleadings and motions, successfully arguing motions, taking and defending depositions, preparing for trial, mediation, arbitration and settlement. She has represented clients in state and federal courts, and before the U.S. Federal Trade Commission and foreign competition authorities.
She has significant investigations experience, having represented senior executives and high-profile individuals in internal and government agency investigations – including the U.S. Department of Justice and the Securities & Exchange Commission.
Amisha previously taught at The George Washington University Law School as an adjunct professor in the Scholarly Writing Program. She maintains an active pro bono practice, representing clients in state and federal court and before the United States Citizenship and Immigration Services. She has drafted cert-stage and amicus briefs in cases before the U.S. Supreme Court in the areas of immigration and affirmative action.
San Francisco
San Francisco
As a partner, he represented public and private high growth technology companies, and venture capital funds in a broad range of industries including, energy, semiconductors, Internet, software and consumer products. He has extensive experience in start-up enterprises, venture financings, public offerings, mergers and acquisitions, and has advised companies and investors in cross border transactions involving Asia.
Larry was appointed in 1995 by President Clinton as one of four U.S. representatives to serve on the panel of arbitrators of the International Centre for the Settlement of Investment Disputes. He has served as an officer and board member for numerous non-profit organizations. From 2021 to 2023, he served as the Chief Operating Officer of Ascend, the largest network of Asian professionals.
Larry has published articles that have appeared in publications of the California Continuing Education of the Bar and the Practicing Law Institute. He has made presentations to the Practicing Law Institute, Law Journal Seminars, Silicon Valley Association of Start up Entrepreneurs, University of California College of the Law, San Francisco, University of California at Berkeley, Haas Business School, UC Berkeley Law and the California State Bar among others. He was a lecturer at Stanford Law School during the Fall of 2024.