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740

Practice:

  • Finance Sector
  • Technology & Innovation Sector
  • Employment Law & Litigation
  • Whistleblower & Corporate Investigations
  • Investigations internes
  • Trade Secrets Litigation
  • Durée du travail
  • Cyber, Privacy & Data Innovation
  • Contentieux complexes & Résolution des litiges
  • Pay Equity

Mike Delikat Partner

New York

He is also the founder of the firm’s Whistleblower Task Force. He previously served as the Managing Director of Orrick’s Litigation Division. The practice group under Mike’s leadership was chosen as one of the top national employment law practices by Law 360.

Chambers USA and Chambers Global has ranked him in Band 1 since it began publishing its rankings, noting he is "a giant of the employment bar, widely regarded as an expert in whistleblowing matters and sex harassment claims,” “sought out by premier clients to handle high-stakes employment litigation and investigations,” and "one of the best lawyers on the East Coast for financial institutions."

Mike has an active trial, arbitration, and appellate practice and handles a number of high-visibility class action and impact cases. He is regularly retained by boards of directors and audit committees to conduct high exposure internal investigations of corporate wrongdoing.

470444

Practice:

  • Mergers & Acquisitions
  • Private Equity
  • Gouvernance d'entreprise

Sam Ramos Partner

Miami

He focuses his practice on mergers and acquisitions, joint ventures, leveraged buyouts, carve-outs, strategic investments, restructurings, recapitalizations, and reorganizations. In addition, he has represented numerous clients with respect to a wide array of corporate law matters, including corporate governance and takeover preparedness.

Sam began his career at Skadden in New York.

Sarah Shyy Managing Associate

Orange County

Sarah has broad experience representing investment banks, corporations, and other private and public companies in the financial services and technology industry.  She has advised clients in all stages of litigation from receipt of pre-litigation demands through discovery, expert work, summary judgment, trial preparation, and trial.  She is also active in pro bono matters.

Sarah graduated cum laude from Loyola Law School, Los Angeles.  While in law school, Sarah participated in the Ninth Circuit Appellate Clinic, where she drafted various briefs to the United States Court of Appeals for the Ninth Circuit.  She also externed for the Honorable Stephen V. Wilson in the Central District of California. 

431646

Practice:

  • Financial & Fintech Advisory
  • Strategic Advisory & Government Enforcement (SAGE)
  • Fintech

Manley Williams Partner

Washington, D.C.

Manley has extensive experience working with clients to develop credit programs, simplify credit agreements, adapt procedures for online and mobile environments, and implement, improve and amend customer rewards programs. She also helps companies sell their products over time, whether traditional banks with credit cards, online lenders with installment loans, startups with charge cards or merchants with installment plans. She helps companies navigate the federal and state law governing credit, licensing, prohibitions on unfair, deceptive or abusive acts or practices (UDAAP) and limitations on lending to the military and compliance with antidiscrimination laws.

She helps institutions evaluate fair lending issues in judgmental underwriting, advises financial institutions where to locate their card issuing banks to benefit from state laws on the exportation of interest rates and assists merchants and emerging companies with implementing their credit programs. Manley assists lenders in revising and refining key operational processes, disclosures and customer agreements necessitated by changing legal standards. She also conducts training for in-house counsel on legal developments in the credit card industry, including compliance with emerging UDAAP standards.

Prior to joining Orrick, Manley was a partner at Buckley LLP. She was also counsel with Wilmer Cutler Pickering, Hale and Dorr LLP, and a staff attorney at the Federal Reserve Board’s (FRB) Legal Division and Division of Consumer and Community Affairs, where she advised financial institutions on compliance with regulations including Regulations Z (Truth in Lending Act (TILA)), B (Equal Credit Opportunity Act (ECOA)), E (Electronic Fund Transfer Act (EFTA)), and CC (Availability of Funds and Collection of Checks).

Manley organizes and hosts card roundtables at which industry leaders discuss emerging issues in a congenial environment. She has a particular interest in financial literacy and is a frequent presenter at public schools in the greater Washington, D.C., area, instructing students and teachers in understanding and using credit and debit cards, mobile phone plans and other common consumer credit vehicles.

740

Practice:

  • Mass Torts & Product Liability
  • Contentieux complexes & Résolution des litiges
  • Life Sciences & HealthTech

C. Anne Malik Partner

Washington, D.C.

Anne represents clients in product liability cases with high potential damages, multiple jurisdictions and plaintiffs, and significant risk to critical product lines.   She also assists clients with risk analyses involving product liability exposure related to expansions in distribution areas, cross-border sales, and new product lines.

Anne is a member of teams representing product liability clients that include a Fortune 500 chemical company, a European pharmaceutical distributor, and a key defendant in asbestos litigation across the country.  She is experienced in matters involving a wide variety of issues, including medical monitoring, stream of commerce liability (including across international borders), premises liability, and successor liability.   

Anne also works with Orrick's Public Policy group assisting clients with developing strategies to solve high-stakes issues in state legislatures, and with state Attorneys General.  Anne works with teams representing clients that include the country's biggest telecommunications company and an industry-leading satellite TV company.

740

Practice:

  • Finance Sector
  • Fiscalité
  • Real Estate
  • Mergers & Acquisitions
  • Funds

Grady Bolding Senior Counsel

San Francisco

He has extensive M&A experience involving numerous types of business. He has particular experience in the area of the taxation of REITs, having represented both public and private REITs for many years, and in the area of real estate transactions and partnerships. Grady's private investment fund practice includes the representation of real estate funds, venture capital funds and hedge funds, as well as institutional investors in such funds. 

Prior to joining Orrick, Grady worked for the firm of Brobeck, Phleger & Harrison LLP, where he served on the firm’s Executive Committee and as Chair of the Tax Group.

740

Practice:

  • Mergers & Acquisitions
  • Technology Companies Group
  • China
  • Fintech

Jeannie J. Shin Partner

San Francisco

Jeannie advises private and public companies on a full range of their corporate needs, with a focus on mergers and acquisitions, joint ventures, strategic alliances, corporate restructurings and capital raising transactions. In particular, Jeannie has extensive experience with cross-border transactions. Jeannie has acted as lead M&A counsel in numerous transactions representing clients both on the sell-side and buy-side. She has extensive experience representing clients in a wide range of industries, including software, internet, life sciences, energy, semiconductors, and consumer products and retail. As a member of Orrick’s Technology Companies Group, Jeannie also represents high growth technology companies and venture capital and other investors and has extensive experience with start-up companies in their formation, debt and equity financings, private placements and general corporate counseling.  

740

Practice:

  • Finance Sector
  • Public Finance

Brandon Dias Partner

Sacramento

California Local Government Finance. Brandon focuses on California local government financing structures including general fund lease revenue bonds and certificates of participation; pension obligation bonds; tax and revenue anticipation notes; mello-roos bonds, assessment district bonds and other land secured financing structures; redevelopment financing; water and wastewater revenue bonds; airport revenue bonds; and public power revenue bonds.

Tax-Exempt Healthcare Finance. Brandon also focuses on tax-exempt healthcare finance for 501(c)(3) organizations. His experience includes financings for standalone hospitals, hospital systems and continuing care retirement communities. He has served as bond counsel or underwriters' counsel on tax-exempt healthcare financings in various states throughout the nation.

428967

Practice:

  • Propriété intellectuelle

David Gindler Partner

Los Angeles

David has achieved extraordinary trial outcomes for both plaintiffs and defendants, including a $302 million verdict for breach of a research and license agreement covering foundational biotechnology, as well as defeating a $217 million damages claim in a patent dispute where liability had already been established in an earlier trial handled by a different law firm. David also negotiates complex intellectual property license agreements involving cutting-edge technologies and creative financial structures, frequently working on behalf of leading academic institutions.

Practice:

  • Investigations internes
  • Litiges relatifs aux titres, recours collectifs et actions obliques des actionnaires
  • Procès
  • 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.

Practice:

  • Finance Sector
  • Contentieux complexes & Résolution des litiges
  • Financial Services Litigation
  • Litiges relatifs aux titres, recours collectifs et actions obliques des actionnaires
  • White Collar, Investigations, Securities Litigation & Compliance
  • Investigations internes
  • Procès
  • Litiges en matière de faillite

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.