Dana Sublett Associate, Intellectual Property
Washington, D.C.
Washington, D.C.
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.
Washington, D.C.; Houston
Washington, D.C.; Houston
Emily provides strategic counseling and advice on privacy, consumer protection and online safety matters to clients across industries, including retail, ecommerce, mobile apps, gaming, social media, advertising technology (adtech), financial services, education, business services and technology. She also represents clients subject to regulatory investigations, including before the FTC and States Attorneys General, Congressional committees and other regulatory agencies and groups.
Emily provides proactive compliance guidance, and regulatory investigation defense, on a variety of privacy and consumer protection laws, including:
Emily is a frequent speaker on data privacy matters, with a particular focus on children’s privacy (COPPA), student data privacy and EdTech and online safety laws for kids and teens. She has been featured as an “Up and Coming” Privacy & Data Security attorney by Chambers USA and Chambers Global. Clients tell Chambers, “She’s been an excellent partner. She has a very good understanding of the practical realities of implementing privacy policies for large companies.” Citing her expertise in the field of educational privacy, student data and EdTech matters, Chambers reports that clients regard her as “very knowledgeable and truly an expert in this space,” with some saying, “On the student data side, she is unmatched,” and The Legal 500 notes that Emily “is the first port of call for child- and student-directed service providers for compliance advice with COPPA, SOPIPA and CalOPPA regulations.”
Emily also has an active consumer protection practice, focused on marketing and promotional issues. She counsels clients on advertisements and endorsements, retail sales and e-commerce, advertising substantiation, SMS and telemarketing, social media and online advertising.
Washington, D.C.
Washington, D.C.
Julie represents early to late-stage companies as well as leading investors in venture capital financings, mergers and acquisitions, corporate formation and governance matters and ongoing corporate matters. She advises companies throughout their lifecycle and represents leading venture firms in connection with their investments in private companies, in all cases across industries.
Washington, D.C.
Washington, D.C.
John currently advises borrowers, sponsors, contractors and other market participants on complex project finance, project development, capital market and corporate transactions, primarily in the energy and infrastructure sectors.
Washington, D.C.
Washington, D.C.
Avery graduated from The George Washington University Law School with a concentration in Business & Finance Law. During law school, he interned for the Oregon Department of Justice (Financial Fraud and Consumer Protection Section), the Securities & Exchange Commission (Division of Enforcement), and the Consumer Financial Protection Bureau (Office of Enforcement). Avery also interned for Commissioner Kristin N. Johnson at the Commodity Futures Trading Commission.
Before law school, Avery worked in Anti-Money Laundering and Bank Secrecy Act compliance at a major bank. Avery has a B.Sc. in Economics and a B.A. in History from Santa Clara University.
Washington, D.C.
Washington, D.C.
His practice focuses on transactions in the energy and infrastructure sectors.
Washington, D.C.
Washington, D.C.
He regularly represents project developers and investors in energy project finance transactions, including tax equity and debt financing, M&A, joint ventures, project development and a broad range of corporate matters. His prior experience includes international and multijurisdictional financing and development of energy projects in Mexico and across Africa, including Equatorial Guinea, South Africa, Nigeria, and Egypt.
Washington, D.C.
Steve’s practice is focused on the full spectrum of federal mortgage lending laws, particularly those that have come out of the Consumer Financial Protection Bureau (CFPB), including the Ability-to-Repay and Qualified Mortgage (ATR/QM) rule, the Loan Originator Compensation rule, the Truth in Lending Act-Real Estate Settlement Procedures Act (TILA-RESPA) Integrated Disclosure rule (TRID), RESPA Section 8, the 2013 Mortgage Servicing Rules and the Home Mortgage Disclosure Act (HMDA) amendments.
Steve is active in the mortgage industry, writing articles and is a regular speaker at mortgage industry conferences. He was a contributing author to the CFPB Mortgage Origination Handbook (2nd Edition). Steve also holds a Certified Mortgage Banker designation from the Mortgage Bankers Association and also completed the MBA's Future Leaders Program in 2018.
Prior to joining Orrick, Steve was Counsel at Buckley LLP.
Washington, D.C.
In private practice, Joe represents companies and executives in FCPA internal investigations, enforcement actions, compliance and defense matters before the U.S. Securities and Exchange Commission (SEC), the Office of Foreign Assets Control (OFAC), the US Department of Justice (DOJ), the UK’s Serious Fraud Office and similar authorities. While at DOJ, Joe was a member of several task forces, including the Securities Fraud Task Force and DOJ’s Task Force into corruption allegations relating to the award of the Winter Olympics to Salt Lake City. Joe also acted as lead prosecutor on several high-profile matters, such as the first-ever joint FCPA enforcement action between the SEC and the DOJ against KPMG and Baker Hughes (which is now the template for FCPA enforcement); an insider trading matter against the former CFO of a waste removal company; and a tax fraud prosecution involving an executive of the U.S. Olympic Committee.
Joe provided counsel in high-profile matters, including leading the internal investigation for HealthSouth (relating to the first criminal indictment under the Sarbanes-Oxley Act); representing an executive for Credit Suisse under indictment for allegations related to tax evasion by U.S. citizens; working on notable FCPA investigations and representing financial institutions in enforcement matters with the Consumer Finance Protection Bureau and the Federal Deposit Insurance Corporation. Joe was appointed by the DOJ and the SEC to be the FCPA Compliance Monitor of Weatherford International Ltd., a large multinational corporation in the oil and gas industry, to monitor its FCPA Compliance Program in connection with a deferred prosecution agreement and settlement with those agencies. Joe has acted as Counsel to the monitor for FCA US LLC in the first-ever appointment of a monitorship by the Department of Transportation’s National Highway Traffic Safety Administration.
Joe also represents boards of directors, audit committees, officers, senior management and employees of global corporations in enforcement and criminal matters around the world and he frequently conducts internal investigations and due diligence for global clients. Such matters have included allegations of, FCPA violations, healthcare fraud, qui tam and False Claims Act actions, insider trading and similar matters. These matters have included such locations as Brazil, China, France, India, Indonesia, Korea, Kyrgyzstan, Malaysia, Nigeria, Pakistan, the Philippines, Russia, Singapore, Switzerland, Thailand, Turkestan, Turkmenistan, the UK, the United Arab Emirates and Uzbekistan.
Washington, D.C.
Washington, D.C.
Mary represents financial institutions and other entities in connection with private debt financings (secured and unsecured), co-investment transactions, private equity financings and restructurings involving privately held companies. She regularly negotiates and drafts complex legal documents to implement these transactions.
Washington, D.C.
Washington, D.C.
Jonas has represented clients in the technology sector in federal and state courts across the country, with argument experience in the federal courts of appeals.
Before joining Orrick, Jonas served as a law clerk to Judge Beverly B. Martin of the U.S. Court of Appeals for the Eleventh Circuit and Judge Analisa Torres of the U.S. District Court for the Southern District of New York. A graduate of Yale Law School, Jonas was an Articles and Essays Editor for the Yale Law Journal and a member of the Veterans Legal Services Clinic.
Jonas previously served as a staff attorney at a leading nonprofit and litigated in federal district and appellate courts challenging adverse effects from criminal fines and fees.
Washington, D.C.
Scott has spent years working in the political arena on both the federal and state level, promoting political and policy agendas via a national network of elected officials, policy makers and outside influence groups.
He has comprehensive experience in federal and state campaign finance, ethics, lobbying and compliance law, and assists clients in all aspects of compliance with rules related to engaging in the political process.
Prior to joining Orrick, he was the President and General Counsel of the Republican State Leadership Committee, a $30 million national political organization focused on electing Republicans to the state offices of Attorney General, Lieutenant Governor, Secretary of State, and State Legislator. Under his leadership, the Republican State Leadership Committee made historic gains in the 2010 elections, netting a record 700 plus state legislative seats, flipping 20 state chambers to Republican control as well as netting six Attorneys General, seven Secretaries of State and three independently elected Lt. Governors.
Scott was previously in private practice with Holtzman Vogel Josefiak PLLC and Arent Fox LLP in the areas of Political law and Litigation. He advised numerous IRS § 527 political organizations, federal and state political action committees, federal and state candidates, state parties, associations, corporations and non-profits in all aspects of fundraising, organization, compliance, disclosure and reporting under federal and state campaign finance laws.
He was General Counsel and served on the Executive Committee of the District of Columbia Republican Party from 2004 to 2012. Prior to his legal career, Scott served as Field Director for Americans for a Republican Majority Political Action Committee (ARMPAC) and worked on the majority staff of the U.S. House Budget Committee for Chairman John Kasich.