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443236

Practice:

  • Supreme Court & Appellate

Kamilyn Choi Managing Associate

Washington, D.C.

Before joining Orrick, Kamilyn was a law clerk on the U.S. Court of Appeals for the Fourth Circuit and a litigation associate at Cleary Gottlieb, where she focused on foreign-sovereign litigation and other cross-border matters.

Kamilyn is a graduate of Yale Law School, where she served on the officer board of the Yale Law Journal and as a member of the Lowenstein International Human Rights Clinic and the federal Indian law clinic.  As a member of the law school's appellate litigation clinic, Kamilyn argued before the U.S. Court of Appeals for the Third Circuit, securing a victory for an incarcerated appellant.

Practice:

  • Internal Investigations
  • Securities Litigation, Class Actions and Shareholder Derivative Lawsuits
  • Trials
  • White Collar
  • White Collar, Investigations, Securities Litigation & Compliance

James E. Burns Jr. Senior Counsel

San Francisco

Jim conducts internal investigations for clients and represents them in regulatory investigations and proceedings before the SEC and state securities regulatory authorities. He has broad experience in jury and bench trial matters before federal, tax and state courts. He has handled numerous class actions and litigated multi-district cases involving claims under RICO and federal and state securities law, as well as professional services malpractice claims and various business torts.

Jim has extensive experience in commercial arbitrations before various arbitration and mediation tribunals, including the American Arbitration Association, the New York Stock Exchange, the National Association of Securities Dealers and privately chosen arbitrators. He acts on behalf of technology companies, venture capitalists, securities issuers, directors, brokers, underwriters, promoters and mutual funds.

Jim has represented Retek, Inc., Touch America Holdings, Inc., RS Investment Management, Inc., Cygnus, Inc., Everen Securities Inc., Chiron Corp., Intevac, Inc., Accel Partners, TA Associates, Kenetech, Pope & Talbot, Citrix Systems, Inc., Everex and The Photonics Fund.

Prior to joining Orrick, Jim was a partner and West Coast Managing Partner at Clifford Chance, a partner and managing partner at Brobeck, Phleger & Harrison and a partner at Chickering & Gregory.

415724

Practice:

  • Energy & Infrastructure Sector
  • International Arbitration & Dispute Resolution
  • Complex Litigation & Dispute Resolution
  • Energy
  • Oil & Gas
  • Infrastructure
  • Investigations

Harriet Horswell Managing Associate

London

In addition to her core experience in ICC and LCIA arbitrations representing clients in the oil and gas, technology and airline industries, Harriet also has experience acting in sports-related arbitrations and representing clients in English High Court and Court of Appeal litigation and enforcement proceedings.

Ashley Luo WC Managing Atty

San Francisco

Ashley advises on civil, appellate, and administrative procedural practices in state and federal court. Previously, she practiced employment law, defending companies against wrongful termination claims and counseling on best practices.

357888

Practice:

  • FCPA & Anti–Corruption
  • Government Investigations and Enforcement Actions
  • Internal Investigations
  • International Trade and Investment
  • White Collar, Investigations, Securities Litigation & Compliance
  • Strategic Advisory & Government Enforcement (SAGE)

Ciarra Carr Managing Associate

San Francisco

Ciarra’s practice includes white collar criminal defense, global investigations across a broad range of industries, and developing anti-corruption compliance programs. She has extensive experience conducting internal investigations and representing companies against the U.S. government in response to Foreign Corrupt Practices Act and sanctions compliance inquiries.

Ciarra's practice also includes online safety, including advising companies regarding statutory reporting and legal reporting in the data privacy space.  Her experience involves best practices with regard to child sexual abuse material (CSAM), cyber harassment, sexual exploitation, and terrorist/hate speech.  Ciarra's expertise includes providing strategic advice to clients with respect to quickly evolving online safety issues such as reporting obligations for social media and internet platforms as well as content moderation and identity verification controls.

Ciarra remains committed to serving her community through varied pro bono matters, including the Criminal Justice Act where she has experience advising individuals charged in large racketeering conspiracies and other federal criminal statues. Most recently, Ciarra served as one of Orrick's inaugural Racial Justice Fellows, working for fifteen months in Howard University School of Law's Civil Rights Clinic. During this time, she assisted the Clinic in filing five amicus briefs in the U.S. Supreme Court, achieved a meaningful settlement on behalf of the family of a man killed by police officers in Greenville, Mississippi (after convincing the district court to deny qualified immunity for the officers involved), and published an academic article about the genesis of Section 1983 and the Ku Klux Klan Hearings of 1871.

Prior to joining Orrick, Ciarra graduated from Brooklyn Law School where she received a distinction in criminal law. While there, she authored timely CLE materials as a Center for Criminal Justice Fellow. She also interned with various non-profit and government agencies, including the Bronx and Kings County district attorney’s offices in the child abuse and sex crimes bureau.

439645

Practice:

  • Banking & Finance
  • Restructuring
  • Private Credit

Robert Trust Partner

New York

The principal focus of his practice has been the representation of private credit lenders, private funds, and other alternative lenders in providing credit to borrowers in special situations in a wide range of businesses and industries, including pharmaceuticals, maritime, aviation, healthcare, automatic, energy, steel, retain, financial, media, entertainment and telecom. In addition, Robert regularly represents ad hoc groups of creditors in chapter 11 restructurings and out-of-court workouts.

Robert is known for his creative, solution-oriented approach to complex restructurings and distressed transactions. As one client noted in The Legal 500 (2025): “Rob Trust’s expertise in crafting creative and effective solutions sets him apart from competitors. He has an ability to collaborate seamlessly, address complex challenges, and remain highly responsive under tight timelines, which is invaluable.”

740

Practice:

  • Technology & Innovation Sector
  • White Collar, Investigations, Securities Litigation & Compliance
  • Trademark, Copyright & Media
  • IP Counseling & Due Diligence
  • Patents

Lauren Seaton Innovation Attorney Litigation

Orange County

Lauren supports and leads projects aimed at optimizing client service delivery and increasing efficiencies. Based in Orange County, she collaborates across offices, practice groups, and departments to streamline legal processes through the integration of technology, automation, and data-driven solutions. Her responsibilities include developing best practices, supporting the firm’s data strategy, and spearheading the rollout and adoption of legal technology within the business units.

Prior to moving into this role, Lauren was a Senior Associate in Orrick’s Securities Litigation group, where she represented and advocated for clients in complex litigation, government regulatory matters, and internal investigations. These experiences have made Lauren well-suited to design and improve client-facing solutions, create tailored workflows, and enhance collaboration with clients and third parties. Her familiarity with legal technology and enthusiasm for leveraging AI in legal services align perfectly with Orrick’s commitment to innovation.

Her diverse legal experience, combined with her proactive and innovative approach, positions her as a key player in Orrick’s ongoing efforts to lead the industry in delivering high-quality, efficient legal services.

Pamela Johnson Chief Inventory Management Officer

San Francisco

Previously, Pamela was the Chief Practice Officer for Orrick’s global Litigation and IP Business Units, comprised of over 400 lawyers.

She advised on the strategic planning, operation and management of the Business Units. Her responsibilities included oversight of the financial performance, business planning and execution, and lawyer recruiting. Pamela also oversaw the managing attorney's office, which includes the firm-wide court and calendaring functions.

Pamela brings to her position many years of experience in various law firm roles. She was formerly a commercial real estate lawyer at Steefel, Levitt and Weiss (now Manatt, Phelps & Phillips) and at Orrick. Her practice focused on the representation of institutional investors in the acquisition, disposition and financing of commercial and multifamily properties. Pamela has also served as Director of Business Development for various transactional and litigation practice groups at Orrick.

418802

Practice:

  • Finance Sector
  • Complex Litigation & Dispute Resolution
  • Financial Services Litigation
  • Securities Litigation, Class Actions and Shareholder Derivative Lawsuits
  • White Collar, Investigations, Securities Litigation & Compliance
  • Internal Investigations
  • Trials
  • Bankruptcy Litigation

Darrell Cafasso Partner

New York

Prior to joining Orrick, Darrell served as the Global Head of Litigation and Regulatory Proceedings at Goldman Sachs, where he served as a key advisor to the firm and oversaw litigation, arbitration, and other disputes, as well as regulatory, criminal, and investigative proceedings, affecting Goldman Sachs, its world-wide affiliates, or their employees. In this role, Darrell managed a large international team of lawyers that determined legal strategy for threatened or actual litigations, regulatory and criminal matters and other contentious proceedings, oversaw internal investigations, and advised legal and business constituencies on legal, reputational and regulatory risks and issues involving all businesses of Goldman Sachs including investment banking, global markets, merchant banking, research, trading, lending, M&A, asset and wealth management, and consumer lending. Darrell was responsible for the firm’s most critical litigation and regulatory matters and successfully resolved a number of important matters on behalf of the firm.

Before joining Goldman Sachs in 2018, Darrell was a litigation partner at Sullivan & Cromwell LLP. Over the years, Darrell has litigated a broad range of commercial cases, including in the areas of securities, banking, financial services, antitrust, consumer financial products, products liability, business torts, bankruptcy litigation, ERISA and other complex corporate litigation. For example, Darrell has represented several financial institutions and public companies, including Goldman Sachs, JPMorgan, Moody’s, Banco Popular, and Fiat Chrysler, in numerous securities class actions, shareholder litigations and other disputes.

Darrell also has guided corporate and individual clients across the globe through multi-billion-dollar investigations, enforcement proceedings, and significant compliance matters including a wide range of matters before the DOJ, the SEC, the CFTC, FINRA, the Federal Reserve Bank, the New York Department of Financial Services and various state attorneys general, and foreign bank regulators. For example, Darrell advised Goldman Sachs in reaching coordinated resolutions in multiple criminal and regulatory investigations in jurisdictions around the world relating to an alleged multi-billion-dollar money laundering and corruption scheme involving the Malaysian sovereign development company, 1MDB, and senior public officials in Malaysia and the United Arab Emirates. Darrell also served as lead counsel to one of the preeminent automobile manufacturers in multiyear criminal and regulatory investigations relating to diesel emissions, sales reporting and bribery issues.

181739

Practice:

  • Finance Sector
  • Banking & Finance
  • Private Credit
  • Indian Tribal Finance
  • Fintech

David Y. Lin Partner

San Francisco; Los Angeles

David assists major financial institutions and alternative lenders in effectively assessing legal risks in complex secured and unsecured commercial finance transactions. He advises on bilateral, club and syndicated financings for acquisitions, dividend recapitalizations, construction and refinancings. He has extensive experience in financings in the casino gaming (commercial and tribal) and technology sectors.

258613

Practice:

  • Complex Litigation & Dispute Resolution
  • White Collar, Investigations, Securities Litigation & Compliance
  • Bankruptcy Litigation
  • FCPA & Anti–Corruption

William George Of Counsel

London

William is an experienced lawyer and certified fraud examiner who has acted for shareholders, investors, creditors, insolvency practitioners, and high net worth individuals in all aspects of litigation arising from fraud and financial mismanagement in the UK and all of the major offshore jurisdictions. Will's experience includes applications for injunctive relief and third-party disclosure orders, and claims for deceit, fraudulent misrepresentation, and unlawful means conspiracy.

William also has a depth of experience in shareholder and trusts litigation, having acted for corporations, shareholders, trustees and beneficiaries in high value disputes across multiple jurisdictions, including a leading role in the frequently cited cases of Singh vs. Singh, and Re Edwardian Group Limited.

William's involvement in Pro Bono work around the world has included high profile projects such as the negotiation of the UN Arms Treaty, the development of refugee law in Tanzania, and assisting victims of crypto fraud in the United Kingdom.

Travis Cherry Senior Associate

New York

Travis advises companies and underwriters on a broad range of capital markets transactions, including offerings of equity and debt securities, de-SPAC transactions, securities law compliance and corporate governance issues.