Washington, D.C.
Thora works with medical device, pharmaceutical, biotech and digital health companies, helping them navigate the increasingly complex patchwork of state and federal health privacy laws. One client described her to the Legal 500 as a “very practical” advisor providing “exceptional guidance” on health information privacy and HIPAA compliance matters.
Her breadth and depth of experience enable Thora to assist clients in harnessing the power of artificial intelligence and executing data-sharing arrangements, all while protecting health data. As a result, Thora spends much of her time counseling pioneering startups and high-growth companies on responsible innovation in healthcare and life sciences.
Thora brings extensive experience counseling clients, including Fortune 500 companies and brick and mortar providers, on the Health Insurance Portability and Accountability Act (HIPAA) and other state and federal health privacy and regulatory compliance regimes including:
Thora routinely helps companies and large employers prepare for and respond to privacy and security incidents involving health information. She also defends clients in government investigations initiated by the OCR, OIG, DOJ, FTC and State AGs, among others.
Düsseldorf
Alexander has many years of experience in advising national and international energy suppliers, global corporations and institutional investors across the entire value chain in the energy sector.
His work primarily involves advising on offshore wind, onshore wind, photovoltaic, and battery storage projects. He supports clients through all phases of a project, from establishing joint ventures for collaborative project development to acquiring project pipelines and investing in existing projects.
During a secondment, Alexander served a leading institutional investor specializing in infrastructure investments. He is recognized by Legal 500 Germany for his expertise in energy transactions (2023).
Alexander also advises on the drafting and negotiation of long-term power supply agreements (PPAs) for the procurement of electricity from renewable energy sources and on the associated regulatory and supervisory issues.
He has also advised on a large number of fundamental issues in the energy industry and represented clients in official and court proceedings. These include matters such as remuneration for power plant operators for redispatch measures, maintaining operational readiness of system-relevant coal-fired power plants, and the regulation of hydrogen networks.
Boston
Jeremy advises clients on the full range of regulatory health care issues facing digital health stakeholders. His depth and breadth of experience enables him to help established and early-stage companies navigate a complex and ever-changing business and regulatory landscape. As one client’s CEO explained, “Jeremy is one of the best thought partners, and hands down the best legal navigator, I’ve found in the digital health space.”
His telehealth experience includes advising on compliance with state licensure requirements for physicians and non-physician practitioners, corporate practice of medicine issues, remote prescribing (including controlled substances), patient consent and Medicare, Medicaid and commercial reimbursement. He advises clients on compliance with laws against fraud and abuse, including federal and state anti-kickback and self-referral laws, as well as privacy issues arising under HIPAA and its state-level counterparts.
Jeremy has substantial experience pertaining to structuring, operationalizing and scaling “PC-MSO” arrangements across all 50 states. He also advises venture capital and private equity firms conducting regulatory diligence associated with investments in digital health and health care technology ventures, from seed stage funding to nine-figure raises.
New York
At the forefront of her field, Lisa helped a client obtain the first authorization from the DOE to export domestic natural gas as LNG to all trading partners, and represented the first bi-directional LNG terminals proposed in the United States in proceedings before FERC.
Lisa has been recognized both nationally and globally as a leading practitioner by Chambers Global, Chambers USA, and The Legal 500 for more than a decade.
“Lisa Tonery comes highly recommended for her considerable expertise in representing major clients in high-value LNG proceedings . . . Sources say: ‘She's an expert . . . she really understands the critical issues.’” (Chambers Global)
"Client-focused, business-minded and dogged in the pursuit of her clients' interests. Her depth of knowledge is best-in-class. She has extensive relationships with FERC at all levels and is very pleasant to work with." (Chambers USA)
Washington, D.C.
Washington, D.C.
Zachary assists clients in the energy, real estate and other sectors with environmental and permitting issues associated with transactional matters and corporate disclosures. He has experience working on matters related to regulatory compliance, land use, permitting, federal and state environmental review, cultural resources, endangered species and environmental aspects of ESG reporting and disclosure. He also has extensive experience in environmental matters associated with the development and permitting of LNG terminals and natural gas pipeline projects.
Prior to joining Orrick, Zachary was at the White House Council on Environmental Quality.
Seattle
Audrey advises a broad range of companies and investors on: buyout mergers and acquisitions, growth equity investments, reorganizations, joint ventures, and governance matters. Audrey’s practice focuses on advising clients in the energy, technology, and healthcare sectors. Audrey brings client-focused innovation and creativity to M&A transactions, developing tailored solutions to clients operating within the transforming energy and healthcare ecosystem and emerging climate tech industry.
San Francisco
San Francisco
Mark has a finance, tax and corporate background, and focuses on structuring complex equity and debt investments, and negotiating investment, shareholder and joint venture agreements. He has a particular focus on tax and cash equity financing of renewable energy projects, including in the solar and wind space.
Mark is a recognized leader in the field. He is the former co-chair of Orrick’s Energy & Infrastructure practice, and has been named by Chambers as one of “America’s leading energy lawyers”, described by clients as “a standout.” He is also highlighted in The Legal 500 USA as a leading individual in the areas of energy: renewable/alternative and is highlighted in the conventional power category. Euromoney has recognized Mark as one of the “world’s leading project finance lawyers” and one of the “world’s leading energy and natural resource lawyers.” He has also been recognized by Best Lawyers in America for project finance law, by The Legal 500 as a leading project finance lawyer, and has been a Law360 Energy MVP. Mark is a frequent speaker on energy project and infrastructure investments.
Londra
Anna’s experience spans M&A, project development and financing, joint ventures, market entry and expansion, and restructurings in Europe, Africa, Latin America, Asia Pacific and the Middle East. She offers clients a comprehensive understanding of the entire energy value chain – from upstream concessions and transportation arrangements to downstream commodity sales and trading. Anna is known for guiding clients through their most challenging and transformative matters, driving results in both mature and emerging markets.
Highly regarded in the market, Anna holds a Band 1 ranking from Chambers Global and Chambers UK in Oil & Gas. Clients praise her as “one of the standout energy lawyers both for M&A and oil and gas work,” noting her intelligent and commercial approach to negotiations and consistent, client-focused communication.
Prior to joining Orrick, Anna spent over 11 years practising in Asia and has worked in London, Singapore, Hong Kong and Beijing.
New York
David is recognized as a trusted advisor who delivers valued execution and results.
San Francisco
Richard also has represented clients in a wide range of SEC-registered, underwritten and privately placed stock and debt offerings, and he has assisted companies in connection with issuer tender offers (both equity and debt), recapitalizations, restructurings, share repurchase programs, and rights offerings. He regularly represents clients in the preparation and filing of periodic SEC reports, proxy statements and Williams Act reports. He also advises clients on compliance with the Sarbanes-Oxley Act of 2002, Dodd-Frank Act of 2010 and JOBS Act; reporting under and compliance with Section 16 of the Securities Exchange Act of 1934; disclosure and reporting issues; sales of restricted securities and sales of securities by insiders; universal proxy cards; and NYSE/NASDAQ rule compliance and inquiries.
San Francisco
As Chief Practice Officer of the Strategic Advisory & Government Enforcement Business Unit, which encompasses attorneys with litigation, regulatory, transactional and legislative policy backgrounds in 18 Orrick global markets, Amy advises on the strategic planning, operation and management of the Unit. Her responsibilities include oversight of the Unit's financial performance, advancement of the Unit’s strategic initiatives, business planning and execution.
Amy's practice focuses on the representation of public companies, directors and officers in securities class actions, SEC and DOJ investigations and enforcement actions and shareholder derivative actions. She has extensive experience in litigation involving compliance breaches of fiduciary duty and securities law violations, and she has conducted dozens of corporate investigations of all types all over the world.
Amy has represented the following companies and/or individuals associated with the following companies: McKesson Corporation, Brocade Communications Systems, Inc. and Olympus Corporation.
New York
Vicki negotiates project financings, procurement, acquisition and sale of energy and infrastructure projects. She quarterbacks complex mergers and acquisitions as well as project developments that require coordination with a host of different parties and advises on debt and equity financings for renewable and conventional energy projects. Well versed in public-private partnerships (PPP/P3) and securities offerings, Vicki guides clients through the legal and business challenges of large infrastructure projects.
Vicki is recognized nationally by Chambers USA, where clients state that she “is terrific to work with,” and she “always makes herself available and is extremely knowledgeable, intelligent and able to get the best out of everyone she works with.”
A distinctive aspect of Vicki’s practice is her dual focus in both the infrastructure and renewables sectors. She leverages this unique perspective in her client relationships with project developers, sponsors, issuers, lenders and governmental authorities.
Passionate about strategizing to get a project to completion, Vicki helps clients build consensus and find creative solutions with achievable outcomes. Whether it’s for the development of a major airport expansion, the equity or debt financing of a wind farm, or the acquisition of a geothermal facility portfolio, Vicki counsels clients on challenging issues and the broader process, providing commercial advice that considers all stakeholders involved.