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381011

Practice:

  • Intellectual Property
  • Copyright, Trademark & False Advertising
  • Trade Secrets Litigation
  • U.S. International Trade Commission

Laura Brooks Najemy Senior Associate Intellectual Property, Copyright, Trademark & False Advertising

Boston

Laura Najemy, a Senior Associate in the Boston office, is a member of the Intellectual Property group.  Her practice focuses on trademark, copyright, false advertising, and trade secret litigation in federal district courts.

Laura's litigation experience includes assisting with trial and witness preparation, drafting motions and oppositions, taking and defending expert and fact depositions, and managing discovery and case teams.  Prior to joining Orrick, Laura worked as an associate at Fish & Richardson P.C. focusing on trademark, false advertising, and trade secret litigation, as well as Goodwin Procter LLP, focusing on complex civil litigation in state and federal court.

From May to November 2014, Laura served as a Special District Attorney for Middlesex County.  In that capacity, she prosecuted felony and misdemeanor criminal cases, trying jury and bench trials to final verdict and arguing dispositive and evidentiary motions.  In 2010-2011, Laura completed a year-long fellowship at the Political Asylum/Immigration Representation (PAIR) Project in Boston, where she assisted individuals who were affirmatively seeking asylum as well as defended individuals who were in removal proceedings in front of the Immigration Court.  Through her pro bono practice, Laura continues to be committed to working to help individuals with various immigration matters.

17901_740x360

Practice:

  • Intellectual Property
  • Patents
  • IP Counseling & Due Diligence
  • Trade Secrets Litigation
  • Japan
  • China

Anri Nakamoto Managing Associate Intellectual Property, Patents

Tokyo

Anri Nakamoto is a managing associate in Orrick's Tokyo office and a member of the Intellectual Property Group.

His practice focuses on representing clients in patent litigation, trade secret litigation and other intellectual property disputes.  Anri also counsels clients on patent portfolio management, intellectual property strategy developments, adversarial patent licensing negotiations, and other IP related matters in cross-border M&A and strategic business and technology alliances. Prior to joining Orrick, Anri worked for more than 10 years at Hitachi Ltd., Panasonic Corp., and IP Bridge Inc.   

Michelle Nance Associate

Seattle

Michelle Nance has experience advising clients and developing proactive strategies, as well as guiding them through litigation and enforcement actions. 

Michelle represents major corporations, financial institutions, and individuals in internal investigations, government enforcement actions, complex commercial litigation, and matters of privacy and data security. She has experience developing and implementing litigation strategies during a two-week trial for a major financial institution. She is also a member of Orrick's new Business and Human Rights practice. 

Michelle is dedicated to her pro bono work. She assists StolenYouth, a local nonprofit focused on ending child sex trafficking, with policy analysis and other legal matters. She has also helped individuals applying for disability benefits, juvenile immigrants seeking legal status in the United States, and organizations with nonprofit law.

Prior to law school, Michelle served as a legislative assistant to a representative in the Washington State House of Representatives. She also worked in the Office of Congressional Ethics in the U.S. House of Representatives and participated in Harvard Law School's International Human Rights Clinic during law school. She graduated with a degree in Business Administration, cum laude, from the University of Washington and a J.D. from Harvard Law School, cum laude.

381448

Practice:

  • M&A and Private Equity
  • Emerging Markets
  • Corporate

Abhijit Narayan Foreign Counsel M&A and Private Equity, Emerging Markets

Düsseldorf

Abhijit Narayan is a member of the M&A/Private Equity Group.

Abhijit is an India qualified and U.S. educated lawyer and focusses on advising Indian clients across different sectors on their business activities in Germany and beyond.

He has broad experience in advising both Indian investors as well as Indian corporates on outbound investments in Europe and especially in Germany. This inter alia includes M&A, private equity, venture/tech and joint venture transactions including the post-merger/post-acquisition integration but also setting up subsidiaries for Indian companies .

Further to his India focus, Abhijit also has significant experience in advising clients from the Middle East.

Prior to joining Orrick, Abhijit worked with J. Sagar Associates (in India), Hengeler Mueller (in Germany) and Slaughter and May (in the United Kingdom).

10079_740x360

Practice:

  • Tax
  • International Tax
  • M&A and Private Equity
  • Structured Finance
  • Energy & Infrastructure
  • Derivatives

John Narducci Partner Tax, International Tax

New York

John Narducci is a partner in the New York office and the leader of the firm's Tax Practice Group in New York.  John's practice focuses on the tax aspects of securities offerings, mergers and acquisitions, restructurings, transactions in the energy market, financings, derivatives, as well as a broad range of other transactions.

John has extensive experience in stock and asset acquisitions, including tax-free reorganizations. He has represented purchasers, sellers and lenders in structuring acquisitions and negotiating the tax aspects of stock purchase and asset purchase agreements. Many of these acquisitions involved cross-border transactions.

Working with issuers, underwriters and investment funds, John has advised clients on numerous securities offerings, including securitization transactions, tender option bonds and high yield debt. Such offerings involved issuers in more than 40 countries.

John regularly works on the restructuring of transactions, including structured financings, project financings and energy and infrastructure projects. He advises on the tax planning aspects of such transactions.

Mr. Narducci has been involved in the development of tax-efficient financial structures, particularly in the cross-border context. For example, he has created tax-efficient structures for several investment funds. He also advises several financial institutions with respect to derivatives transactions, including the tax aspects of ISDA Master Agreements.

He also works with regulated and unregulated participants in the energy market on financings and a wide range of other transactions. Some of these transactions involve rural electric cooperatives.

John also advises on the tax aspects of pass-through entities, project financings and a broad range of other matters. He worked on the sovereign debt restructurings of Bulgaria, Costa Rica, Croatia, Nigeria, Poland and Vietnam.

362201

Practice:

  • White Collar, Investigations, Securities Litigation & Compliance
  • Financial Services Litigation
  • Securities Litigation
  • Blockchain and Cryptocurrency

Daniel Nathan Partner White Collar, Investigations, Securities Litigation & Compliance, Financial Services Litigation

Washington, D.C.; New York

Daniel Nathan uses his deep enforcement and regulatory experience to represent U.S. and international financial institutions and individuals before financial regulators.

With a combined 25 years as a senior enforcement official with the SEC, CFTC and FINRA, three of the country’s leading regulatory and enforcement authorities, Dan is a particularly effective advocate for those facing investigations and/or enforcement action by those regulators. He is also active in advising and representing companies who issue or transact in cryptocurrency and is co-chair of Orrick's Blockchain and Cryptocurrency group.

Daniel’s intimate knowledge of broker-dealer regulation provides clients facing SEC or FINRA examinations and enforcement investigations with experienced counsel related to broker-dealer supervisory procedures, sales practices, anti-money laundering, ETF regulation, product disclosure and supervision, and securities and broker registration. His extensive experience includes the JOBS Act and Dodd-Frank Act, and he has led extensive efforts to help foreign banks establish programs for complying with the Volcker Rule. He also represents individuals and entities facing investigations by the CFTC or derivatives exchanges.

Previously, Daniel served as the Vice President and Regional Enforcement Director of the Financial Industry Regulatory Authority (FINRA), where he oversaw 70 lawyers across 15 offices responsible for bringing up to 900 disciplinary actions annually against broker-dealer firms, registered representatives and associated persons. This included many of FINRA’s most significant nationwide enforcement actions, including actions and sweeps involving mutual fund breakpoints, structured products sales practices and supervision, and private placement due diligence and disclosure.

In his 12 years at the SEC, Daniel served as Assistant Director in the Division of Enforcement, where he supervised federal securities investigations of insider trading (including the investigation that resulted in the seminal case US v. O’Hagan), market manipulation, financial fraud and accounting misconduct. In nine years with the CFTC, he served as Deputy Director of Enforcement, with responsibility for oversight of the agency’s Enforcement Division.  In that role, he supervised significant actions regarding market manipulation, trade practices, commodity trading advisor practices and foreign exchange dealer practices.

An oft-quoted authority on complex financial, legal and business issues, Daniel is frequently sought after to speak and write on the important issues confronting financial institutions, including broker-dealer sales practices and compliance, complex products, ETFs, the Volcker Rule, derivatives, cryptocurrency, cybersecurity, and anti-money laundering. He is Co-chair of the ABA SEC Enforcement Subcommittee and a member of the Editorial Advisory Board of the Journal of Investment Compliance.

377572

Practice:

  • White Collar, Investigations, Securities Litigation & Compliance

Rachelle M Navarro Senior Associate White Collar, Investigations, Securities Litigation & Compliance

New York

Rachelle Navarro represents financial institutions, corporations and individuals in white collar criminal defense, internal investigations and litigation.

Rachelle focuses her practice on internal investigations, government investigations and litigation matters. She has experience representing clients in AML, sanctions and tax evasion matters, and has defended clients in front of the Department of Justice, the Securities and Exchange Commission, Financial Industry Regulatory Authority, Inc., and the Federal Trade Commission.

Rachelle is also an experienced trial lawyer and has represented clients in three criminal trials, resulting in an acquittal of the top charge in each trial.

7339_740x360

Practice:

  • Structured Finance
  • Asset Backed Securities
  • Banking & Finance
  • Derivatives

Sushila Nayak Partner Structured Finance, Asset Backed Securities

London; New York

Sushila Nayak is a member of the firm’s Banking & Finance Group, based in London. Dual-qualified in New York and England and Wales, Sushila works with financial institutions, public and privately owned companies, asset managers and alternative lenders on complex, multidisciplinary financings.

She has a broad range of experience in debt financing transactions, including corporate finance, structured finance and project finance. She represents issuers, arrangers and collateral managers in connection with the issuance and restructuring of various structured finance products, derivatives transactions and debt offerings in Europe and the United States.

Sushila also provides counsel to several technology companies on trade finance matters, including receivables financing arrangements, vendor financing, and supply chain financing. Active in pro bono work, she leads the London office’s pro bono efforts.

377553

Practice:

  • Infrastructure
  • Project Finance
  • Energy
  • Solar Energy
  • Transportation Finance

Matthew Neuringer Managing Associate Infrastructure, Project Finance

New York

Matthew's practice specializes in energy, transport and infrastructure projects, particularly alternative delivery projects (public-private partnerships (PPP/P3) and design-build (DB). Prior to practicing law, Matthew worked as a hedge fund analyst and chief of staff in New York State government.

Matthew's prior experience in finance and government enhances his ability to deliver legal advice through a commercial lens for private and public sector clients. Matthew has advised clients across a full spectrum of energy and infrastructure assets, including telecoms, rail, highways, airport, intermodal transit, combined heat and power, social infrastructure, and waste to energy. Matthew has also advised several key state and local governments on the sufficiency of their laws to produce P3 projects in their jurisdictions.

346507_740x360

Practice:

  • White Collar, Investigations, Securities Litigation & Compliance
  • Government Investigations and Enforcement Actions
  • FCPA & Anti–Corruption
  • Africa

Kelly D. Newsome Managing Associate White Collar, Investigations, Securities Litigation & Compliance, Government Investigations and Enforcement Actions

New York

Kelly D. Newsome is a Managing Associate in the White Collar, Investigations, Securities Litigation & Compliance group. 

Kelly advises individuals and corporations in white collar criminal, regulatory, and compliance matters, including alleged violations of federal securities laws, anti-money laundering regulations, and the Foreign Corrupt Practices Act (FCPA).  Her global practice has included investigations and matters in Africa, Asia, Europe, South America, and the United States.  She has also represented public and private institutions in various complex commercial and securities litigation matters, including class actions, shareholder derivative and merger-related litigations, breach of contract disputes, and business valuation proceedings.  

Kelly remains actively involved in international development, and works with organizations globally in the areas of extractive industry transparency, illegal detention, and transitional justice. 

Prior to joining Orrick, Kelly was an Associate at Cadwalader, Wickersham & Taft LLP, and prior to law school, Kelly was a fundraising and management consultant for faith-based and nonprofit organizations.

 

354411

Practice:

  • Corporate
  • M&A and Private Equity
  • Capital Markets
  • Technology Companies Group

Mark Nguyen Associate Corporate, M&A and Private Equity

San Francisco

Mark Nguyen is an associate in the San Francisco office and a member of the firm's Corporate Business Unit.