New York
Ken represents issuers, underwriters and selling security holders on public and private offerings of debt and equity securities and liability management transactions, such as exchange offers, tender offers, and consent solicitations. He also guides businesses through all stages of organization and development by advising on ’34 Act and indenture reporting compliance, corporate governance and related regulatory matters, venture capital and growth equity financings, and corporate and securities law matters arising in connection with merger and acquisition transactions and corporate restructurings and reorganizations. Ken has served as counsel to companies in a variety of industries, including information technologies and services, life sciences and biotechnology, fintech, infrastructure, advertising, telecommunications, clean technology, financial services, and consumer products.
Before his law career, Ken managed his own company, consulting for technology startups, financial services firms, and advertising agencies on web-based initiatives.
New York
Dan advises on projects spanning the energy and infrastructure sector, including toll roads, rail, airports, ports, thermal and renewable energy generation, transmission infrastructure, telecommunications infrastructure, and water and waste facilities.
His key clients include major strategic and financial sponsors who have been involved in many of the largest and highest profile PPP and project development transactions over the past 30 years. Dan advises clients on Public-Private Partnerships, large-scale, complex project financings, and acquisitions and divestitures of projects and project portfolios, leading teams that have the depth and breadth to deliver excellence in every phase of a project, including development, construction, financing and operations, as well as providing leading M&A, restructuring and tax advice.
Dan has long been recognized as a leading practitioner in publications such as Chambers (every year since 2005), The Legal 500 and others. Clients describe him in Chambers as a “dean in the PPP space,” the “best in the business” and one client added that “he has an encyclopedic memory about all the deals in the market and a negotiating style that solves problems rather than creating them.”
New York
His practice focuses on representing financial institutions, governmental and regulated entities, hedge funds and corporate end-users in developing, structuring and negotiating a broad range of fixed income, foreign exchange, commodity, energy and credit derivative products. Among other things, he has successfully negotiated numerous domestic and cross-border lien-secured hedging transactions relating to leveraged loans and infrastructure transactions, as well as deal-contingent hedges. In addition, Nik has significant experience in foreign exchange and fixed income prime brokerage issues, as well as various structured products. He also regularly advises clients in connection with derivatives regulation, including the application of the Dodd-Frank legislation and related regulations. Also, Nik provides counsel on close-out netting matters and UCC issues relating account control arrangements for collateral. Nik regularly advises on the structuring and negotiation of energy and commodity hedging transactions, as well as swap regulatory matters relating to VPPAs. Moreover, on a regular basis, Nik represents market participants on the termination and close-out of derivatives and other products, including providing advice on related bankruptcy matters.
Nik has published articles in several journals, including on rating agency hedge criteria in connection with structured finance transactions.
Before joining Orrick, Nik was vice president and assistant general counsel at Goldman, Sachs & Co. and director and counsel at UBS AG. He also served as a law clerk to the Honorable Nicholas Tsoucalas of the United States Court of International Trade.
From 1999 to 2007, Nik held a commission as a Captain in the United States Army Reserve, where he was qualified to practice as a Judge Advocate. A veteran of both Operations Iraqi Freedom and Enduring Freedom, he served as an Operational and Administrative Law attorney in Kuwait, Iraq and Afghanistan.
New York
Jacqueline focuses her practice on business litigation, representing clients in high-stakes matters in federal and state courts nationwide. She has extensive experience successfully litigating complex commercial cases at both the trial and appellate levels.
New York
Harry has broad experience representing a wide array of clients in all stages of litigation. He's worked with clients in bet-the-company disputes from the pre-litigation stage through motion practice, discovery, expert depositions, summary judgment motions, extensive pre-trial preparations, trials, and appeals. Separate from his successes in both state and federal litigation, Harry has also helped guide clients big and small through arbitration disputes.
Prior to joining Orrick, Harry worked as a litigation associate at a major international law firm in New York.
While in law school, Harry served as articles editor for the Georgetown Law Journal, interned at the U.S. Attorney's Office for the Southern District of New York, and represented inmates as part of GULC's Death Penalty Practicum. Harry won Georgetown's 68th Annual Beaudry Moot Court Competition and served as coach and board member of the Appellate Advocacy team. Prior to law school, Harry worked as a trial preparation assistant with the Bronx District Attorney's Office and as an intern at the United Nations.
New York
Phil provides valuable complex litigation and class action litigation experience, including for clients like Goldman Sachs, JPMorgan Chase, Morgan Stanley, and Blackstone.
Phil has broad experience representing corporations in all stages of litigation, including pre-suit demands, motions to dismiss, fact and expert discovery and depositions, summary judgment, trial preparation, and trial. Phil has drafted various briefs for federal and state proceedings encompassing numerous substantive issues, including administrative law, constitutional law, civil procedure, evidentiary issues, business and contract disputes, and class actions.
Prior to joining Orrick, Phil practiced at Cahill Gordon & Reindel in New York.
Phil received his J.D. from the Georgetown University Law Center.
New York
Katie represents lenders, including private credit funds and leading financial institutions, sponsors and borrowers on a wide variety of leveraged finance transactions. Her work includes both domestic and cross-border transactions across a wide variety of industries.
Katie is also actively involved in pro bono matters as well as recruiting and mentoring within the firm.
Washington DC; New York
In conjunction with this work, she develops policies and procedures, records retention schedules and training materials. A significant part of her practice involves addressing data security breaches, working proactively with clients to prevent such breaches from occurring, and advising clients in responding to regulatory inquiries, investigations and enforcement actions related to privacy, information security and cybersecurity issues. She also assists numerous professional sports teams comply with data privacy concerns, consumer financing laws and payment system issues.
Beth also represents financial institutions, corporations and individuals in a wide range of matters. She advises clients in investigations, examinations and litigation initiated by the Consumer Financial Protection Bureau (CFPB), the New York Department of Financial Services (NYDFS), the Department of Justice (DOJ), the Federal Trade Commission (FTC), state attorneys general and bank regulatory agencies. She has represented financial institutions in class action litigation concerning federal and state fair lending laws, mortgage fraud, unfair and deceptive trade practices statutes, consumer fraud statutes and consumer privacy laws. She has extensive experience counseling clients in response to federal and state subpoenas and handling all aspects of e-discovery.
Over the course of her career, Beth has represented clients in matters involving simultaneous criminal, civil administrative and congressional proceedings. She has defended clients in matters relating to money laundering compliance issues and investigations and litigation by the U.S. Attorney’s Office for the Southern District of New York (SDNY), the Manhattan District Attorney’s Office, the Department of Treasury, the Securities and Exchange Commission (SEC), and various congressional committees, including the U.S. Committee on Homeland Security and Government Affairs Permanent Subcommittee on Investigations, the U.S. House Financial Services Committee and the U.S. House Committee on Oversight and Government Reform.
Beth has published and spoken on a variety of topics, including privacy, cybersecurity, electronic discovery, vendor management and consumer financial services litigation. She authored the chapter on “Oversight of Compliance and Control Responsibilities” for Navigating the Digital Age – The Definitive Cybersecurity Guide for Directors and Officers. She has been recognized for her work in Cyber Law (Data Protection and Privacy) by Legal 500 since 2013, which describes her as “outstanding on privacy and e-discovery issues,” “able to advise both on the regulatory and litigation sides of problems,” an attorney who "exceeds expectations on response and turnaround times,” “has strong industry knowledge in data security and privacy, and is able to walk the fine line between operational efficiency and regulatory compliance' when developing IT policies.” It also described her as “top notch, incredibly responsive, thoughtful, and provides advice that is both practical and efficient.”
Prior to joining Orrick, Beth was a partner at Buckley LLP where she was Co-chair of the firm’s Privacy, Cyber Risk & Data Security practice and E-discovery Committee. Previously she was an associate at Skadden, Arps, Slate, Meagher & Flom. She clerked for Federal Magistrate Judge P. Trevor Sharp of the United States District Court for the Middle District of North Carolina after law school. Beth is a Certified Information Privacy Professional (CIPP/US).
New York
Lorraine brings 30+ years of legal experience in bankruptcies, out-of-court restructurings, sovereign debt restructurings and creditors' rights controversies. She interfaces with auditors, government regulators, investment bankers and others, and develops and implements mediation and litigation strategies, and negotiates reorganization plans and complex corporate and finance documents. She also regularly provides commercial law and bankruptcy advice in connection with securitization, M&A, energy & infrastructure and general corporate transactions.
Lorraine has represented various stakeholders in bankruptcies, workouts, distressed debt transactions, sovereign debt restructurings, bankruptcy litigation, derivatives and distressed acquisition matters such as Suriname, Belize, Puerto Rico, Takata Corporation, Windstream, GTT, Brazos Electric Power Cooperative, Lehman, MF Global, Indiana Toll Road, Chemtura Corporation, Tronox Incorporated, South Bay Expressway, American Dream School, Detroit, General Motors and Stone & Webster.
Lorraine is Partner in Charge of Orrick’s global Inclusion & Belonging Initiatives. She previously served two terms on the firm’s 11-member Board of Directors and as a member of the Management Committee, and she also previously chaired the Restructuring Group.
As a leading Inclusion & Belonging advocate, Lorraine creates programs for the legal profession and the community. She was selected as a 2019 Rainmaker by the Minority Corporate Counsel Association (MCCA), 2025 Private Practitioner of the Year by the Metropolitan Black Bar Association, as one of Savoy Magazine’s Most Influential Lawyers for 2024, 2022, 2018 and 2015, and received Legal Outreach’s Pipeline to Diversity 2017 Champion Award and the New York City Bar Association Diversity and Inclusion 2012 Champion Award. IFLR1000 Rankings named Lorraine a leading lawyer in the U.S. She was selected by Direct Women to be a 2016 Board Institute member. She is a frequent speaker and author on bankruptcy and insolvency and diversity and inclusion.
Among her community involvement, she is a former Vice President and Board Member of the New York City Bar Association and currently co-chairs the City Bar's Digital Assets Task Force. She serves on the Board of Directors for the Institute for Inclusion in the Legal Profession and the New York Lawyers for the Public Interest, where she is chair of the board, and on the Advisory Committees for Legal Outreach and the Vance Center for International Justice of the City Bar, where she serves as co-chair of the Advisory Committee of the Vance Center.
New York
His practice focuses on project acquisitions and financing, including debt and tax equity financing, in the renewable energy and infrastructure sectors. His infrastructure practice focuses on alternative delivery models (such as P3s) and Energy-as-a-Service transactions.
New York
Ross has been advising governments, sponsors and lenders on P3s and alternative delivery models for over 20 years in the USA, Australia, and the UK. He has been lead counsel on numerous first-of-their kind P3s in each of these jurisdictions and advised on a wide variety of infrastructure assets including, airports, rail and rolling stock, roads, flood control, hospitals, schools, housing, and waste management. He brings the breadth of his US and international experience, a deep understanding of these types of transactions and the needs of each stakeholder group, as well as an ability to think creatively and bring innovation, to work with his clients for the successful structuring, procurement, and delivery of projects so that his clients may achieve their goals.
Key highlights of Ross' experience include advising:
New York
Vertis counsels clients on the implementation of global privacy programs and privacy-related contracts. He advises on United States (U.S.) state privacy laws and the impact of international laws from a U.S. perspective, including the General Data Protection Regulation (GDPR) and the EU Artificial Intelligence Act.
Vertis also helps clients design and operationalize AI governance programs. He advises clients on the responsible use of AI by employees, the risks presented by AI tools, the sourcing and use of AI training data, and the development of consumer-facing AI systems.
During law school, Vertis served as an extern with the New Jersey Division of Law’s Section of Data Privacy & Cybersecurity and interned with the United Nations Office of Strategic Planning. He also participated in his law school’s Intellectual Property Law Journal.
Prior to law school, Vertis worked as a Data Research Analyst at Bloomberg LP.