Seattle
Chambers USA observed Dan’s “enviable client roster includes major corporates and financial institutions, as well as company directors, officers and accountants. He is particularly active in securities-related litigation, with additional experience in shareholder disputes. Adept in the courtroom, has tried more than a dozen cases to verdict in state and federal courts.” One client characterized his cross examination of a Nobel-Laureate economist as simply “amazing.”
Dan has enjoyed considerable success in high-profile national matters with the finest law firms in the country from coast to coast, from the Delaware Court of Chancery to New York Supreme Court to the Washington Supreme Court, where he recently argued an issue of first impression under the Washington State Securities Act. Dan has active matters advising Washington’s most sophisticated legal clients with respect to securities and shareholder matters.
Dan has also been a key part of the winning Orrick team leading the defense of Credit Suisse in against an avalanche of litigation related to claims involving residential mortgage-backed securities (RMBS). Dan has acted as co-lead partner on a number of successful constitutional challenges to state and local taxes and legislation.
San Francisco; Silicon Valley
Recognized as a leader in Securities Litigation by Chambers USA, clients praise Jim as, “a spectacular relationship manager” and tell the publication, “Jim is one of the first people I will call to think through an issue. I would use him for any securities matters.” Jim is also regularly featured among Benchmark Litigation’s list of the nation’s Leading Litigators.
Jim is a frequent lecturer on securities and class action litigation and an editor for the Securities Reform Act Litigation Reporter. Jim is past chair of the Embarcadero YMCA Board of Managers and remains active in YMCA philanthropy. In his spare time, he enjoys time with his family and is a recreational long course triathlete.
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.Orange County; New York; Seattle
Legal 500 touts Paul as a recommended attorney for Securities Litigation, observing that he is “among the most creative and strategic lawyers” who always has “an eye on the end game.” Paul achieved American Lawyer Litigator of the Week recognition as part of a team that achieved a ground-breaking New York Court of Appeals victory that substantially reduced financial exposure in RMBS repurchase litigation.
Leader of Orrick's Securities Litigation practice and deputy leader of the Firm's Financial Services Litigation practice, Paul has extensive experience representing clients in securities class actions, shareholder derivative lawsuits, commercial contractual disputes and other complex litigation matters at both the trial and appellate levels, as well as in connection with internal, government and regulatory investigations. Paul also counsels domestic and foreign accounting firms on matters related to state CPA licensing and state board regulation.
San Francisco
Todd regularly advises companies and their boards on corporate governance best practices and fiduciary and disclosure duties, and has extensive experience in responding to shareholder litigation demands and other shareholder activism.
Before joining the firm, Todd was an associate at the San Francisco office of Clifford Chance US LLP. In his spare time, Todd is a musician, screenwriter and father to three fantastic kids.
New York
Jim is consistently recognized as a leading lawyer in legal publications such as Chambers USA and Benchmark Litigation. Chambers notes Jim is "able to handle a wide range of mass torts and class actions, including particular strength in toxic tort-related mandates.” Clients told the publication that Jim “is extremely professional, with excellent brief writing and oral arguments,” calling him “a great guy and a great lawyer."
Jim has served in a variety of management roles at Orrick, including Managing Director of Litigation, Member of the Executive Committee and Board, Lead Director, and as a member of the firm’s Management Committee.
Jim has written and lectured on complex litigation and mass tort subjects at a variety of law schools and seminars.
Before joining Orrick, Jim was a partner at Donovan Leisure Newton & Irvine LLP.
San Francisco
Alex is recognized by Chambers and Legal 500 as an "Up and Coming" and "Rising Star" in securities litigation. He has extensive experience representing public and private companies and their D&Os, as well as investment banks and underwriters, in securities and corporate governance-related litigation and other complex commercial litigation. He also regularly advises companies and their boards on corporate governance best practices and fiduciary and disclosure duties, frequently presents and publishes on these topics, and teaches a full-semester course on transactional and shareholder litigation at the University of California Berkeley School of Law.
Alex earned his Juris Doctor degree, with Honors, Order of the Coif, from the University of Chicago Law School, and graduated with a Bachelor of Arts degree from the University of California, Davis.
San Francisco; New York
Mike was Orrick's Securities Litigation practice leader from 2004 to 2012.
He has the unique ability to look at corporate governance problems from a business perspective, to carefully navigate or avoid collateral consequences, and strategically win legal problems. He is frequently recognized for his exemplary work by Chambers, Super Lawyers and The Daily Journal.
Mike focuses on litigation involving the Private Securities Litigation Reform Act of 1995, The Securities Act of 1933, the Securities Act of 1934, the Uniform Standards Act and proceedings initiated by the Securities Exchange Commission, the National Association of Securities Dealers and other self-regulatory organizations.
Mike has extensive experience in litigation involving breaches of fiduciary duty and conducting various types of corporate investigations.