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96942

Practice:

  • Complex Litigation & Dispute Resolution
  • International Arbitration & Dispute Resolution
  • Mass Torts & Product Liability

John Ansbro Partner

New York

John litigates a wide range of commercial disputes, including financial services litigations involving RMBS, disputes in the wind and solar power industries across a host of contractual issues, construction disputes, long-term take-or-pay and liquidated damages disputes, force majeure, bankruptcy litigation, insurance recovery, and commercial real estate foreclosure. He was also an arbitrator on an ICC International Court of Arbitration panel in a cross-border industrial contract dispute.

COVID-19’s unprecedented global market impact has clients across an array of industries seeking John’s counsel on force majeure and related breach of contract disputes. These include force majeure matters across jurisdictions and industries, including Energy & Infrastructure, Pharmaceuticals, Financial Services, Real Estate, Hospitality, and Retail.

John litigates significant, high stakes matters. For example, in 2017 on behalf of his client Hemlock Semiconductor Corp., in a case of first impression in Michigan, on appeal John won the dismissal of an attempt by a Japanese conglomerate to avoid $1.4 billion in purchase obligations on the theory that alleged acts by the Chinese Government constituted an “act of government” under the parties’ force majeure provision. The Michigan Bar Journal declared it one of the top 10 business cases of 2010-2019. In 2019, one of the very few RMBS actions to be tried, John was trial counsel for Credit Suisse Securities USA in a $700 million dispute in the Supreme Court of New York. At trial he handled the defense expert in the critical area of loan underwriting.

Prior to joining Orrick, John was a Litigation Associate at Donovan Leisure Newton & Irvine LLP.

Orrick partner Jon Direnfeld

Practice:

  • Technology & Innovation Sector
  • Cyber, Privacy & Data Innovation
  • Government Investigations and Enforcement Actions
  • Financial & Fintech Advisory
  • Strategic Advisory & Government Enforcement (SAGE)
  • Complex Litigation & Dispute Resolution
  • Antitrust & Competition

Jonathan Direnfeld Partner

Washington, D.C.

Jon’s enforcement work involves helping clients navigate the patchwork of federal and state “consumer protection” rules and defending investigations and enforcement actions brought by the Federal Trade Commission (FTC), U.S. Department of Justice (DOJ), State Attorneys General (AGs), and other state regulatory agencies. These matters cover a broad spectrum of B2C and B2B issues, including data privacy, cybersecurity, greenwashing, and so-called “unfair and deceptive” sales and marketing practices with a focus on representation of e-commerce platforms, marketplaces, gig economy, social media and fintech companies. In connection with these enforcement matters, Jon is able to leverage his substantial experience in crisis management by helping clients devise and implement coordinated regulatory, legislative, and media responses to these high stakes incidents.

Jon also helps companies identify and understand regulatory risks and opportunities associated with ESG marketing and goals by providing guidance on greenwashing and the FTC’s Green Guides to help clients avoid deceptive marketing for environmental responsibility and sustainability.

Jon also has substantial experience in the antitrust and competition space, including class action antitrust litigation, criminal cartel investigations and enforcement actions before the DOJ and international regulators, as well as mergers and acquisitions and conduct investigations before the DOJ and FTC. In addition, Jon also provides strategic public policy counseling to clients on consumer protection and data management matters before Congress and executive branch agencies, and he has an active complex commercial litigation practice in federal and state courts across the country.

740

Practice:

  • Finance Sector
  • Technology & Innovation Sector
  • White Collar, Investigations, Securities Litigation & Compliance
  • Complex Litigation & Dispute Resolution
  • Securities Litigation, Class Actions and Shareholder Derivative Lawsuits
  • Internal Investigations
  • Corporate Governance
  • Whistleblower & Corporate Investigations
  • Trials

Daniel Dunne Senior Counsel

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.

380232

Practice:

  • Complex Litigation & Dispute Resolution
  • Cyber, Privacy & Data Innovation
  • Government Investigations and Enforcement Actions
  • Class Action Defense
  • Intellectual Property

Rebecca Harlow Partner

San Francisco

Rebecca’s practice includes all aspects of class action and other civil litigation in areas including privacy and data security breach litigation and arbitration and insurance litigation. She has represented multiple companies in class action litigation involving claims by consumers, employees, and institutions relating to security, privacy, and other issues. She also advises clients facing insurance coverage disputes and arbitration of contractual disputes. She has defended litigation arising out of data breaches involving claims by consumers and financial institutions and class actions bringing wiretapping and other claims against companies relating to the use of online technologies and tools like cookies, pixels, and session replay software.

Rebecca has assisted multiple clients across several industries in seeking, obtaining, and disputing the denial of insurance coverage. Throughout the COVID-19 pandemic, she has advised clients on insurance, contracting, and other unique issues that have arisen. Recently, Rebecca served as the senior associate in a fraud trial that was tried in-person during the height of the Omicron variant and settled after a week of trial. Rebecca’s pro bono practice focuses on immigration and civil rights issues.

Prior to joining Orrick, Rebecca was a litigation associate in the San Francisco office of another international law firm. She previously served as a pro bono fellow at Greater Boston Legal Services representing low-income clients in disputes over state cash and food assistance benefits.

740

Practice:

  • Finance Sector
  • Complex Litigation & Dispute Resolution
  • White Collar, Investigations, Securities Litigation & Compliance
  • Internal Investigations
  • Mass Torts & Product Liability
  • Class Action Defense
  • Trials
  • Fintech

Richard Jacobsen Partner

New York

Rich serves as lead counsel for Credit Suisse’s entire residential mortgage-backed securities (RMBS) docket in federal and state courts throughout the country. He is lead counsel for Goldman Sachs in two RMBS cases in the SDNY. For nearly a decade, he has been lead counsel for Ocwen Financial Services in all matters concerning its market-leading business servicing loans in residential mortgage-backed securitizations. He is currently lead counsel for Nationstar Mortgage LLC d/b/a Mr. Cooper in a breach of contract action pending in the Delaware Court of Chancery. Rich has also frequently represented companies with respect to disputes involving the distressed debt trading market, including Jefferies and Citibank, and frequently tries nine figure disputes in the most important bankruptcy jurisdictions in the United States for clients such as UBS and Blackstone.

He and his Orrick team bring to each representation a combination of deep financial markets knowledge, holistic litigation strategy and a problem-solving mentality. In an industry where many cases are settled, he has established a formidable record at trial and on appeal, while achieving regulatory settlements at a small fraction of the industry benchmarks.

Named Litigators of the Week by The American Lawyer for his representation of Credit Suisse that yielded a precedent-setting decision from the New York Court of Appeals that will change the future of RMBS litigation, clients laud Rich telling Chambers (2022), “He makes my job easier by deploying a combination of impeccable legal skill, excellent judgment and a knowledge of the financial services industry.” “I would recommend Rich to anyone.”  (2024) "He makes my job easier by deploying a combination of strengths - impeccable legal skills, excellent judgment, knowledge of the finance sector and a formidable reputation."  Echoing that praise, clients say (2021) “I would recommend Richard Jacobsen in the highest terms,” he is (2020) “an exceptional litigator” and “a master of navigating commercial disputes.” Chambers also reports that clients regard him as “a commercial disputes wizard.” Clients hold Rich in high regard, telling Legal 500 our commercial disputes team is (2021) “brilliant,” while the publication calls out his “business critical disputes” work for Credit Suisse and Goldman Sachs. Clients further endorse Rich when speaking to Legal 500, noting he (2020) “is always available and willing to do what is necessary in any situation. His knowledge of the industry and more importantly where we fit in the industry has paid tremendous dividends from a legal representation perspective. I have not dealt with an attorney from any other firm that had the combination of knowledge, ability, reputation and judgment that Rich has.” Another client called out Rich’s “razor sharp intellect” which sets him apart from other disputes and trial lawyers.

A first-chair trial lawyer recognized as one of Lawdragon’s 500 Leading Litigators in America, Rich has litigated commercial, securities and product liability disputes for clients in many other industries in venues across the country. His clients have included: Amazon, Caesars Entertainment, Inc., The Dow Chemical Company, Microsoft, DISH Network, Acer and Wyeth. He has argued numerous appeals at the state and federal levels and frequently represents clients before state and federal regulators. He has argued multiple times before seven of the eight current justices in the Commercial Division of New York’s Supreme Court, New York County, and has arbitrated before the American Arbitration Association and London Court of International Arbitration.

740

Practice:

  • Complex Litigation & Dispute Resolution
  • Supreme Court & Appellate
  • ERISA & Benefits Litigation
  • Employment Law & Litigation
  • Intellectual Property
  • Real Estate

Cynthia Larsen Partner

Sacramento

She has handled appellate matters in the U.S. Supreme Court, various federal appellate courts and in the California Supreme Court and appellate courts. She is a veteran trial attorney and has applied her experience as a former U.S. Department of Justice trial attorney to serving corporate and governmental clients. She recently served for five years as the partner-in-charge of Orrick’s Sacramento office. She also served for several years as head of Orrick’s Litigation Training Program and as vice-chair of the firm’s Litigation Division.

Before joining Orrick, Cynthia was an attorney at Condon & Forsyth in Washington, D.C. from 1982 to 1985. Prior to that, she was a trial attorney in the Civil Division of the U.S. Department of Justice in Washington, D.C., where she served in the Honors Program and specialized in civil trial work. Representative cases handled by Cynthia on behalf of the United States include: Sweet v. United States, 528 F.Supp. 1068 (D.S.D. 1081), aff’d, 687 F.2d 246 (8th Cir. 1982) (trial counsel); Pike v. United States, 652 F.2d 31 (9th Cir. 1981) (trial and appellate counsel); Gaspard v. United States, 544 F.Supp. 55 (E.D.La. 1982); Marek v. United States, 639 F.2d 1164 (5th Cir. 1981) (trial counsel).

Cynthia frequently writes and lectures on litigation topics. She serves as a pro tem settlement conference judge for the Sacramento Superior Court and as a federal court mediator.

In addition to being admitted in California, Cynthia is also admitted in Idaho (inactive) and the District of Columbia (inactive).

740

Practice:

  • Complex Litigation & Dispute Resolution
  • Mass Torts & Product Liability
  • Insurance Recovery
  • Class Action Defense
  • Trials

Khai LeQuang Partner

Orange County

Most recently, Khai was lead trial counsel for EFG Bank and Erste Abwicklungsanstalt (which acquired the assets of former WestLB) in their lawsuit against AXA Equitable Life Insurance Company in the Southern District of New York, arising out of Equitable’s cost of insurance rate increase in 2016. EFG and EAA sought close to $100 million in damages. After several years of litigation, the case settled over the weekend before jury selection on very favorable terms. The settlement continued a string of recoveries Khai has achieved for clients pursuing claims against carriers that raised their cost of insurance rates.

Khai was lead trial counsel for EFG, EAA, and Obra Capital in their lawsuit against John Hancock Life Insurance Company in the Southern District of New York, arising out of John Hancock’s cost of insurance rate increase in 2018. EFG, EAA, and Obra sought over $100 million in damages. The case settled the evening before jury selection on very favorable terms.

Last year, Khai was lead trial counsel for a life insurance agent sued for fraud in connection with a life settlement transaction. The plaintiff sought over $10 million in damages. Following a one-week trial, the jury returned a complete defense verdict, and the case settled before judgment was entered.

Khai was lead trial counsel in a two-week bench trial in an action against a school district arising out of its allocation of $417 million in bond funds. The plaintiffs, led by a taxpayer association, sought $90 million for construction of a new school. After navigating a year-long political imbroglio and defeating plaintiffs’ summary judgment motions following a defense that Judge Pressman described as “brilliantly argued,” the case proceeded to a trial that resulted in a decision in favor of the district on all claims. Khai also defended and argued the appeal, in which the trial court’s judgment was affirmed.

740

Practice:

  • Finance Sector
  • Complex Litigation & Dispute Resolution
  • Insurance Recovery
  • Financial Services Litigation
  • White Collar, Investigations, Securities Litigation & Compliance

Barry Levin Partner

San Francisco; New York

Barry is known in the market as “one of the most accomplished litigators,” “very effective in pursuing compelling themes and tearing down witnesses with polite cross-examination” (2017 Benchmark Litigation), and as "a real seasoned veteran of high-stakes litigation" (2020 Chambers USA). Barry has also been commended by his peers as a "fabulous lawyer" who is "very well regarded and really knows the area" (2016 Chambers USA). 

Barry has broad first chair experience in trial and arbitration, ranging from trial counsel for Johns-Manville Corporation in its coverage litigation involving asbestos-related bodily injury claims to successful domestic and international arbitrations on behalf of financial institutions, hospitals, and hospitality companies.  

Over the past 8 years, Barry has developed extensive experience in issues arising out of the financial crisis, including a range of issues relating to mortgage backed securities and lending practices.

He is a frequent lecturer in the area of litigation, insurance coverage and law firm management. Prior to joining Orrick, Barry was a shareholder at Heller Ehrman LLP.

227643

Practice:

  • Technology & Innovation Sector
  • Intellectual Property
  • Complex Litigation & Dispute Resolution

Mark Parris Partner

Seattle

"An outstanding trial lawyer, very strategic, very responsive and very creative," according to Chambers USA's Guide to America's Leading Lawyers for Business.

His experience includes representing Fortune 500 and other clients from various industries (e.g. technology, financial services, chemical/manufacturing, energy, retail). The litigation has involved IP, Securities, Insurance, Employment, Products Liability, Class Actions and significant contract disputes in Federal and State courts and before arbitration panels throughout the United States. He has been a speaker nationally at various seminars on litigation, arbitration, mediation and trial techniques. Mark has tried dozens of cases – both jury and non-jury trials – and mediated and arbitrated 75-plus cases. He has argued numerous appeals in Federal Circuits across the country and has served as an expert witness on multiple occasions. Mark has also served as National Counsel to a number of clients involved in multi-state litigation. He has been recognized as one of America’s Top 100 Bet-The-Company Litigators, is one of two IP litigators in Washington selected as an Amazing Attorney by Washington CEO magazine and was recently recognized as one of the top 30 Trial Lawyers in Washington.

In addition, Mark is a member of the firm’s Insurance Recovery Group. He has been named as the leading policy-holder side attorney in Washington State. He has represented several Fortune 500 companies as well as the State of Washington, the Washington Association of Municipal Attorneys and several cities, counties and port authorities in insurance coverage disputes.

Prior to joining Orrick, Mark was a partner at Heller Ehrman.

259848

Practice:

  • Complex Litigation & Dispute Resolution
  • Securities Litigation
  • Mass Torts & Product Liability

Aaron M. Rubin Partner

Orange County

An accomplished litigator, Aaron advises leading investment banks, financial institutions, mortgage servicers, non-bank lenders, and alternative asset managers on the unique issues impacting the finance sector, from major commercial disputes to securities litigation and enforcement actions. Leveraging his dispute resolution expereince, Aaron serves as a trusted partner to clients, advising on best practices for mitigating risk long before there is the threat of litigation.

In 2018, Aaron moved to the firm’s Orange County office from New York. The move served his New York-based traditional financial institution clients needing counsel on the West Coast, while also expanding his practice.

228479

Practice:

  • Finance Sector
  • White Collar, Investigations, Securities Litigation & Compliance
  • Securities Litigation, Class Actions and Shareholder Derivative Lawsuits
  • Financial Services Litigation
  • Government Investigations and Enforcement Actions
  • Internal Investigations

Paul F. Rugani Partner

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.