NEW YORK, Oct. 28, 2021 /PRNewswire/ -- Latham &
Watkins LLP1 is pleased to announce that 44 associates
have been elected to the partnership and another 39 associates have
been promoted to the role of counsel, effective January 1, 2022.
Each of the lawyers has earned the confidence of their clients
and colleagues to become trusted advisers in their respective areas
of practice.
"I am incredibly proud of our new partners and counsel. Each of
them has demonstrated an unwavering commitment to client service
and a dedication to our culture of teamwork, innovation, and legal
excellence. This dynamic and talented group of lawyers strengthens
our firm and our ability to serve clients around the world in
industries that are shaping the global economy. We look forward to
their future successes and contributions to our clients and our
firm," said Rich Trobman, Chair and
Managing Partner of Latham & Watkins.
"Each of these lawyers enjoys tremendous respect from clients
and colleagues alike for their legal expertise, drive, sector
knowledge, and commercial acumen. Together, they exemplify the
depth of Latham's global platform.
They are terrific team players, exceptional practice builders, and
outstanding lawyers, and we are excited to see them reach this
milestone," added Kathleen Walsh,
Chair of the firm's Associates Committee, which consists of nearly
equal numbers of partners and associates and which, among other
responsibilities, recommends promotions to partner and counsel each
year.
The 44 lawyers elected to the partnership are:
America
Owen J.D. Alexander (Chicago) is a member of the Mergers &
Acquisitions Practice in the Corporate Department who advises
private equity firms and public and private companies on a range of
transactions, including M&A, dispositions, carve-outs, joint
ventures, and other corporate matters. He has experience in
multiple industries, including financial services, asset
management, telecommunications, and real estate. He received his JD
from New York University School of Law
in 2013.
Morgan E.
Brubaker (Washington,
D.C.) is a member of the Data & Technology Transactions
Practice in the Corporate Department. She represents a range
of clients in the structuring and negotiation of complex,
multi-jurisdictional, technology-related commercial transactions
–including acquisitions, strategic alliances, joint ventures,
intellectual property licensing, development, manufacturing, supply
and commercialization agreements, and related data privacy and
security matters. She has experience advising on matters involving
cloud computing, autonomous and electric vehicles, and other
cutting-edge technologies, including in the fields of fintech and
artificial intelligence. She received her JD from Villanova University School of Law in 2011.
Aaron T. Chiu (Bay Area) is a
member of the Antitrust & Competition Practice in the
Litigation & Trial Department. He represents public and private
companies in complex antitrust disputes and government enforcement
actions through trial and appeal across a range of industries,
including technology, sports and entertainment, advertising,
transportation, and retail and consumer products. He received his
JD from the University of Southern
California Gould School of Law in 2012.
Christopher J.
Clark (Washington,
D.C.) is a member of the Capital Markets Practice in
the Corporate Department who advises clients on corporate finance,
securities regulation, public company representation, and other
securities and corporate governance matters. He represents public
and private companies, investment banks, private equity firms, and
other investors in leveraged buyouts, initial public offerings
(IPOs), registered and privately placed offerings of high yield,
investment grade, and convertible bonds, and other financing
transactions. He also advises clients in regard to SEC reporting,
securities law and disclosure issues, debt compliance, and
corporate governance. He received his JD from Georgetown University Law Center in 2012.
Jason B. Gott (Chicago) is a member of the Restructuring
& Special Situations Practice in the Finance Department. He
advises borrowers, investors, acquirers, and other creditors in
distressed situations, out-of-court restructurings, all aspects of
Chapter 11 proceedings, and related state and federal court
litigation. He has experience representing debtors in large,
complex Chapter 11 cases, advising clients in a variety of
industries. He received his JD from the University of Chicago Law School in 2012.
Meryn Grant (Los Angeles) is a member of the Securities
Litigation & Professional Liability Practice in the
Litigation & Trial Department who represents corporations,
boards of directors, and their executives in high-stakes complex
litigation, including shareholder class actions related to
disclosure fraud and corporate governance. She has experience
representing clients in major motion practice, trial, and appeals,
including a victory in one of the only securities class actions to
go to a jury trial in a decade. She received her JD from
Stanford Law School in 2012.
Jared W.
Grimley (Houston) is a
member of the Transactional Tax Practice in the Tax
Department. He advises clients on the US federal income tax aspects
of a range of transactions, including cross-border and domestic
M&A, tax-free spin-offs, securities offerings by US and non-US
companies, and domestic and multinational group restructurings. He
received his JD from Cornell Law
School in 2013.
Darren J.
Guttenberg (Orange
County) is a member of the Mergers & Acquisitions
Practice in the Corporate Department who advises public and
private clients in a range of M&A, capital markets, corporate
governance, and other general corporate transactions. He serves
clients across various sectors, including real estate, life
sciences, gaming, technology, retail, consumer goods, and financial
services. He received his JD from the University of Southern California Gould School of
Law in 2013.
Eric Kamerman (New York) is a member of the Transactional Tax
Practice in the Tax Department whose practice focuses on US
federal income tax matters relating to a range of transactions,
including leveraged buyouts, joint ventures, tax-free
reorganizations, and securities offerings by US and non-US
companies. He regularly represents public and private companies, as
well as private equity funds and their portfolio companies. He
received his LLM and JD from New York
University School of Law in 2015 and 2013, respectively.
J. Jekkie Kim (Bay Area) is a member of the Healthcare
& Life Sciences Practice in the Corporate
Department who focuses on intellectual property and
technology-related transactional matters. She primarily advices
pharmaceutical, biotech, digital health, agricultural technology,
and medical device companies and their investors, and she has
experience assisting clients with cross-border transactions that
involve markets such as China. She
received her JD from Boston University
School of Law in 2010 and her MD from Yonsei
University College of Medicine in 2003.
Alan R.
Kimball (New York) is
a member of the Transactional Tax Practice in the Tax
Department. His practice focuses on US federal income tax matters
relating to a variety of transactions, leveraged buyouts, joint
ventures, tax-free reorganizations, and other M&A and capital
markets transactions, including debt and equity financings. He
received his JD from Harvard Law
School in 2011.
Kendra
Kocovsky (New York) is
a member of the Banking Practice in the Finance Department.
She represents private equity sponsors and borrowers in a variety
of financing transactions, including term and revolving credit
facilities, asset-based credit facilities, and mezzanine
financings, and she has experience representing sponsors in mid-cap
and large-cap leveraged buyouts. She received her JD from the
University of Virginia School of Law in
2010.
Ryan J. Lynch (Houston) is a member of the Mergers &
Acquisitions Practice in the Corporate Department who focuses
on strategic transactions in the energy and technology sectors,
including public and private M&A matters and equity and debt
capital markets offerings. He has experience advising companies on
cross-border transactions, including foreign private issuers
accessing the US capital markets. He received his JD from
Georgetown University Law Center in
2013.
Ross McAloon (Orange County) is a member of the Capital
Markets Practice in the Corporate Department who advises
clients in capital markets, securities regulation, and corporate
governance matters. He represents companies, investment banks, and
private equity firms in public and private securities offerings,
including international and US-registered offerings, IPOs, private
placements, and rights offerings. He has practiced in New York, London, and California, and received his JD from the
George Washington University Law School
in 2012.
John Miller (Boston) is a member of the Mergers &
Acquisitions Practice in the Corporate Department who focuses
his practice on leveraged buyouts, private equity investments,
structured equity investments, and pre-IPO convertible notes. He
advises private equity, growth equity, corporate, and other clients
on a variety of complex transactions across industries. He received
his JD from New York University School of
Law in 2011.
Kamal Steven
Nesfield (New York) is
a member of the Banking Practice in the Finance Department who
represents financial institutions, borrowers, and issuers in a
variety of leveraged finance transactions, with a particular focus
on acquisition financings. He received his JD from Howard University School of Law in 2011.
Michael Podolny (Bay Area)
is a member of the Emerging Companies Practice in the
Corporate Department who represents high-growth technology and
biotechnology companies throughout their life cycle in a variety of
corporate and securities law matters, including venture capital
financings, M&A, corporate governance, and public markets
transactions. He also regularly represents venture capital and
private equity firms that finance high-growth companies and the
entrepreneurs who start such companies. He received his JD from
Osgoode Hall Law School, York
University in 2012.
Rebecca (Reba) L.
Rabenstein (Washington,
D.C.) is a member of the Intellectual Property Litigation
Practice in the Litigation & Trial Department who focuses on
litigating IP disputes and strategic counseling in the
pharmaceutical, biotechnology, and life sciences areas. She has
experience in all stages of litigation, including pre-suit
investigation, litigation, trial, and appeal. She received her JD
from the University of Michigan Law
School in 2010, and she earned PhD and MPhil degrees in
Neuroscience (Molecular Psychiatry) from Yale
University in 2007 and 2005, respectively.
Samuel D.
Rettew (Austin) is a
member of the Capital Markets Practice in the Corporate
Department. He represents private and public companies, private
equity firms, and investment banks in a variety of financing and
other transactions, including cross-border and leveraged buyout
transactions as well as debt and equity offerings. He also advises
clients in corporate finance, securities regulation, and general
securities and corporate matters. He received his JD from the
University of Texas School of Law in
2012.
Brittany D.
Ruiz (New
York/Los Angeles) is a
member of the Capital Markets Practice in the Corporate
Department who represents globally recognized companies, major
investment banks, and private equity firms in complex, high-profile
equity and debt offerings. She advises on matters involving a range
of industries, with a particular focus on the technology, consumer
retail, and healthcare sectors. She received her JD from
Cornell Law School in 2013.
Leah R. Sauter (New York) is a member of the Mergers &
Acquisitions Practice in the Corporate Department. She
represents public and private companies in a range of corporate
transactions, including acquisitions, spin-offs, joint ventures,
reorganizations, and other general corporate matters. She regularly
provides ongoing advice on securities laws, corporate governance,
and stock exchange requirements. She received her JD from
Columbia University School of Law in
2013.
Bret J. Stancil (Bay Area)
is a member of the Mergers & Acquisitions Practice in the
Corporate Department. He represents both public and private
companies in strategic corporate transactions as well as private
equity funds and their portfolio companies in connection with
public and private mergers, leveraged buyouts, acquisitions and
dispositions, and general corporate transactional matters. He
represents clients in a range of industries, including technology
and software, internet and digital media, healthcare and life
sciences, and retail and consumer products. He received his JD from
the University of Pennsylvania Law
School in 2013.
Helena Tseregounis (Los
Angeles) is a member of the Restructuring & Special
Situations Practice in the Finance Department who represents
clients in domestic and cross-border corporate reorganization and
restructuring, bankruptcy proceedings, distressed asset
acquisitions, bankruptcy-related litigation, and out-of-court
restructurings. Her clients include debtors, creditors, buyers,
creditors' committees, and other interested parties in various
insolvency situations and across numerous industries, including
banking and finance, minerals and mining, energy, retail,
automotive, real estate, and media and content. She received her JD
from the University of Chicago Law
School in 2012.
Whitney B. Weber (Bay Area)
is a member of the Securities Litigation & Professional
Liability Practice in the Litigation & Trial Department
who focuses on complex securities litigation and government
investigations. She represents companies, officers, and boards of
directors in a range of industries, including Fortune 500 companies
and financial institutions, in securities class actions,
shareholder derivative litigation, M&A litigation, and SEC
enforcement actions. She received her JD from Vanderbilt University Law School in 2011.
Scott W. Westhoff (Chicago) is a member of the Capital Markets
Practice in the Corporate Department who advises clients on
capital markets transactions as well as general securities and
corporate governance matters. He represents issuers and
underwriters in IPOs and other public and private offerings of debt
and equity securities across a wide range of industries, with a
particular focus on the consumer retail, healthcare, and technology
sectors. He received his JD from Loyola Law School,
Los Angeles in 2012.
Monica E. White (Houston) is a member of the Capital Markets
Practice in the Corporate Department. She advises clients on
capital markets transactions primarily in the energy industry,
including IPOs, high yield and investment grade debt offerings,
public equity offerings, and other securities transactions on
behalf of a variety of financial institutions and companies. She
received her JD from the University of
Houston Law Center in 2012.
Jooyoung Yeu (New York) is a member of the Complex
Commercial Litigation Practice in the Litigation & Trial
Department. She has experience representing large companies,
professional services firms, and financial institutions in a
variety of complex civil matters and securities class action
in state and federal courts, as well as in U.S. and
international commercial arbitrations. Her practice spans a range
of industries, including life sciences, financial services,
technology, energy, and consumer products. She received her JD from
Harvard Law School in 2012.
Asia-Pacific
Kieran Donovan (Hong Kong) is a member of the Data &
Technology Transactions Practice in the Corporate Department
who advises clients on cutting-edge and cross-border technology,
data protection, communications, and commercial matters. He
represents a range of clients from various sectors, including
technology, financial services, entertainment and media, insurance,
health, and telecommunications. He received his LLB from the
University of Technology, Sydney
in 2011.
Zhonghua (Stephen)
Shi (Hong Kong)
is a member of the Mergers & Acquisitions Practice in the
Corporate Department. He advises private equity firms, portfolio
companies, and multinational and Chinese corporations in a wide
range of complex M&A transactions, including buyouts, growth
equity investments, joint ventures, public takeovers, and PIPE
transactions. He received his LLM from Harvard Law School in 2016 and his LLB from
Renmin University of China in
2010.
Europe/UK
Paolo Bernasconi (Milan) is a member of the Capital Markets
Practice in the Corporate Department. He represents corporate
clients, investment banks, and private equity sponsors and their
portfolio companies in debt and equity capital markets transactions
and acquisition financings, with an emphasis on issuances of high
yield debt securities. He has experience representing issuers and
underwriters in industries including telecommunications, aerospace,
luxury design, energy, software, and IT services. He received his
Law Degree from Bocconi University,
Milan in 2008.
Kendall
Burnett (London) is a
member of the Executive Compensation, Employment & Benefits
Practice in the Tax Department. She advises clients on the
full spectrum of employment, remuneration, and incentives matters,
with experience in international aspects of share-based
incentivization and related employment and corporate governance
issues. She received her Diploma in Legal Practice from the Glasgow
Graduate School of Law in 2008 and her LLB from the University of Glasgow in 2007.
Emily Cridland (London) is a member of the Mergers &
Acquisitions Practice in the Corporate Department. She
represents clients across numerous industries in strategic
cross-border M&A, joint ventures, venture capital,
reorganizations, and general corporate matters. She received her
Postgraduate Diploma in Legal Practice from Nottingham Law School in 2010 and her Bachelor
of Law from the University of Sussex in 2008.
Robert
Davidson (London) is a
member of the Banking Practice in the Finance Department who
advises banks and other financial institutions, private equity
sponsors, corporate borrowers, and issuers on a range of leveraged
finance transactions, with a particular focus on cross-border
acquisition finance. He received his LPC from BPP Law School,
London in 2010 and his Bachelor of
Laws from University College London in 2009.
Jennifer M.
Gascoyne (London) is a
member of the Capital Markets Practice in the Corporate
Department who represents both issuers and investment banks on a
range of capital markets transactions, including IPOs. She advises
clients across a variety of industries border transactions and
foreign private issuers. She received her JD from the University of Texas School of Law in 2013.
Joseph
Kimberling (London) is
a member of the Banking Practice in the Finance Department who
focuses on leveraged finance and refinancing transactions, with a
particular emphasis on advising private equity sponsors on
cross-border acquisition financing. He regularly represents private
equity sponsors and their portfolio companies, corporate borrowers,
and financial institutions on a range of debt financing structures.
He received his LPC from the College of Law, England and Wales in 2010 and his LLB from the University
of Nottingham in 2009.
Simon Lange (Paris) is a
member of the Mergers & Acquisitions Practice in the
Corporate Department. He represents private equity firms and public
and private companies in M&A, dispositions, joint ventures,
carve-outs, and other transactions, as well as general corporate
matters. His industry experiences include technology, retail, life
sciences, transportation, and manufacturing. At the University of
Paris II (Panthéon-Assas), he earned a Postgraduate Law Degree
in Banking and Finance in 2011, a Postgraduate Degree in Business
Tax Law in 2010, a Masters in Corporate Law in 2009, and a Bachelor
Degree in Law in 2008.
Patrick
Leftley (London) is a
member of the Structured Finance Practice in the Finance
Department. He advises banks and asset managers, fintech companies,
consumer finance companies, and early-stage businesses on a range
of public and private securitization and asset-backed financing
structures across asset classes, including residential and
commercial mortgages, consumer loans, SME loans and merchant cash
advances, student loans, credit card receivables, and trade
receivables. He received his LPC in 2010 and his GDL in 2009 from
the College of Law, London.
Anne Löhner (Munich) is a
member of the Complex Commercial Litigation Practice in the
Litigation & Trial Department. She represents international and
domestic clients in high-profile disputes before courts and
arbitral tribunals, including in complex commercial litigation,
post-M&A disputes, and mass actions. She received her LLM from
Columbia University School of Law in
2012, earned her Dr. iur. from Ludwig-Maximilians-University in
Munich in 2012, completed the
Second German State Exam at the Higher Regional Court of
Munich in 2011, and completed her
First German State Exam at Ruprecht-Karls University Heidelberg in
2007.
Alena McCorkle (Frankfurt) is a member of the Complex
Commercial Litigation Practice in the Litigation & Trial
Department who focuses on complex and cross-border disputes as well
as German and international arbitration. She advises
clients in a range of industries, including automotive, consumer
goods, information technology, and energy. She received her Dr.
iur. from the University of Gießen in 2018, completed the Second
German State Exam at the Higher Regional Court of Frankfurt in 2013, and completed
the First German State Exam at the University of Gießen
in 2011.
Maximilian Platzer (Frankfurt) is a member of the Mergers &
Acquisitions Practice in the Corporate Department. He advises
private equity and corporate clients on complex domestic and
cross-border M&A transactions, including public takeovers,
co-investments, and management participations, and guides clients
throughout the investment life cycle. He received his Dr. iur. from
Ruprecht-Karls-University in 2015, completed the Second
State Exam at the Higher Regional Court of Frankfurt in 2013, and completed the First
State Exam at Ruprecht-Karls-University in 2009.
Robert Price (London) is a member of the International
Arbitration Practice in the Litigation & Trial Department
who focuses on commercial arbitration, investment treaty
arbitration, and complex commercial litigation in both UK and
overseas courts. He has conducted commercial and investor-state
arbitrations under all of the principal arbitration rules and has
experience in complex matters arising out of oil and gas,
construction, infrastructure, and energy and power projects. He
also has significant knowledge on international sanctions and
export control law. He received his LPC in 2010 and his GDL in 2009
from the College of Law, England
and Wales, and received a BA in
Ancient and Modern History from Brasenose College, Oxford in 2008.
Verena Seevers (Hamburg) is a member of the Transactional Tax
Practice in the Tax Department. She focuses on domestic and
international tax aspects of corporate and finance matters,
particularly in private equity, M&A, and real estate
transactions. She received her LLM in International Taxation at
King's College London in 2009, completed the Second German State
Exam at the Higher Regional Court at Schleswig in 2012, and
completed the First German State Exam at the University of
Hamburg in 2007.
Hendrik Smit (London) is a member of the Banking
Practice in the Finance Department who represents banks and
other financial institutions, private equity firms, and corporate
borrowers in a range of banking and financing transactions, with
particular emphasis on leveraged finance and cross-border
acquisition finance. He received his Postgraduate Diploma in Legal
Practice from BPP Law School in 2010 and his LLB from Cardiff University in 2009.
Frances Stocks
Allen (London) is a
member of the Healthcare & Life Sciences Practice in the
Corporate Department who provides sophisticated commercial,
transactional, and regulatory advice to leading life sciences
companies and industry investors in the biotechnology,
pharmaceutical, and medical devices sectors. She focuses on complex
commercial and intellectual property arrangements, and has
experience in UK and EU regulations and data privacy. She received
her Postgraduate Diploma in Intellectual Property Law and Practice
from the University of Oxford in 2015;
her MBA from BPP Business School in 2011; her LPC from BPP Law
School, London in 2009; and her
GDL from the College of Law, London in 2008.
The 39 lawyers promoted to counsel include:
America
Dale Chang (Chicago) is a member of the Intellectual
Property Litigation Practice in the Litigation & Trial
Department who focuses on patent disputes involving a range of
leading-edge technologies. He has tried more than a dozen cases in
US federal courts and at the US International Trade Commission. He
also has experience in challenging and defending patents before the
US Patent Trial and Appeal Board. He received his JD from the
University of Illinois College of Law
in 2006 and a BS in Electrical Engineering from the University of Illinois in 2001.
Caitlin E. Dahl (Chicago) is a member of the Complex Commercial
Litigation Practice in the Litigation & Trial Department. She
advises companies in complex commercial and environmental
litigation, international arbitrations, domestic arbitrations, and
multidistrict class action litigations. She received her JD from
Notre Dame Law School in 2011.
Jonathan A. Drory (Washington, D.C.) is a member of the Public
Company Representation Practice in the Corporate Department who
focuses on private and public securities offerings, securities
regulation, and general company representation. He has experience
advising clients on public reporting obligations and corporate
governance. He received his JD from the University of Pennsylvania Law School in 2012.
Aaron G.
Friberg (San Diego) is
a member of the Real Estate Practice in the Corporate Department.
He represents clients in acquisitions and dispositions involving
hotels, hospitals, office buildings, casinos, shopping malls, and
other asset classes. He received his JD from the University of California, Los Angeles School of Law
in 2009.
Andrew P. Galdes (Washington, D.C.) is a member of the White
Collar Defense & Investigations Practice in the Litigation
& Trial Department who specializes in US economic sanctions and
export controls. He counsels US and non-US clients across a range
of industry sectors that are facing trade-related regulatory,
congressional, and other government investigations, or that need
assistance developing or enhancing their internal compliance
programs. He also advises companies, private equity firms, and
investment banks on compliance issues in transactional matters. He
received his JD from Duke University
School of Law in 2011.
Clever H. Gallegos (New
York) is a member of the Banking Practice in the Finance
Department. He represents investment banks, direct lenders, and
other financial institutions on a range of leveraged finance
matters, including acquisition financings, cross-border
transactions, distressed financings, and asset-based financings. He
received his JD from Cornell Law
School in 2013.
Benjamin D. Gibson (San Diego) is a member of the Environmental
Regulation & Transactions Practice in the Environment, Land
& Resources Department. He defends clients in the chemicals,
defense, and manufacturing sectors against environmental claims in
litigation and administrative proceedings, and advises on
regulatory compliance matters concerning water quality, air
quality, and hazardous waste. He received his JD from Duke University School of Law in 2012.
Monica C. Groat (Washington, D.C.) is a member of the
Healthcare & Life Sciences Practice in the Corporate Department
who counsels clients on all aspects of the FDA-regulated product
life cycle. She also represents life sciences clients in civil and
criminal compliance and enforcement matters. She received her JD
from the University of Chicago Law
School in 2010 and her BA in Biological Sciences & Religious
Studies from the University of Chicago
in 2007.
William K. Hackett (Washington, D.C.) is a member of the Public
Company Representation Practice in the Corporate Department. He
advises clients on their public reporting obligations, with a
particular focus on beneficial ownership disclosure as well as
auditor independence and corporate governance matters. He received
his JD from Columbia University School
of Law in 2012.
Joseph C. Hansen (Bay Area) is a
member of the Connectivity, Privacy & Information Practice in
the Litigation & Trial Department who focuses on data privacy
class-action litigation, regulatory matters before the US Federal
Trade Commission and States Attorneys General, and compliance
counseling. He has particular experience defending and advising
companies in the technology sector. He received his JD from the
University of Minnesota Law School in
2010.
Amit Makker (Bay Area) is a
member of the Intellectual Property Litigation Practice in the
Litigation & Trial Department. He primarily represents clients
in complex patent disputes through all phases of litigation in a
variety of industries, including networking technologies, cellular
systems, internet and cloud technologies, semiconductors, computer
hardware, medical devices, and automotive. He received his JD from
the University of Southern California
Gould School of Law in 2011.
Eric M. Merrill (Washington, D.C.) is a member of the Project
Development & Finance Practice in the Finance Department. He
counsels sponsors and developers as well as financial institutions
and investors on a variety of development, construction, and
financing matters for energy and infrastructure projects, including
solar, wind, and natural gas generation and energy transition
facilities. He received his JD from Yale Law School in 2012.
Christopher (Topher) A.
Michail (Los Angeles)
is a member of the Structured Finance Practice in the Finance
Department. He represents banks, business development companies,
large financial institutions, borrowers, and asset managers in
complex financing transactions, including secured and unsecured
credit facilities, leveraged acquisition financings, and structured
vehicle financings. He received his JD from Northwestern University School of Law in 2013.
Lindsey A.
Mills (New York) is a
member of the Capital Markets Practice in the Corporate Department.
She advises clients on a range of equity and debt transactions,
including IPOs and high yield and investment grade debt offerings.
She also advises clients on securities law compliance and general
corporate governance matters. She received her JD from the
University of Texas Law School in
2012.
Jeffrey T. Mispagel is a
member of the Restructuring & Special Situations Practice in
the Finance Department. He represents debtors and creditors in
complex structured finance, distressed M&A, and litigation
matters. He received his JD from Columbia
University School of Law in 2009.
Michael L. Montgomery
(Century City) is a member of the
Mergers & Acquisitions Practice in the Corporate Department who
represents private equity and public and private strategic buyers
and sellers. He has experience on buy-side and sell-side
transactions in a variety of industries, including real estate,
technology, and entertainment, sports, and media. He received his
JD from Northwestern University
Pritzker School of Law in 2012.
Hugh Keenan
Murtagh (New York) is
a member of the Restructuring & Special Situations Practice in
the Finance Department who represents debtors and creditors in all
aspects of restructuring, both in and out of court, with a
particular focus on bankruptcy litigation. He received his JD from
New York University School of Law in
2011.
Colin O'Regan (Chicago) is a member of the Banking Practice
in the Finance Department. His practice ranges from middle-market
to large-cap transactions, representing financial institutions and
corporate borrowers in a range of leveraged finance transactions,
with a particular focus on senior secured lending, acquisition
financings, and cross-border transactions. He received his JD from
Cornell Law School in 2012.
Matthew J. Peters (Washington, D.C.) is a member of the
Securities Litigation & Professional Liability Practice in the
Litigation & Trial Department. His practice focuses on
securities class actions, shareholder derivative suits, and SEC
investigations, and includes complex commercial litigation. He
received his JD from Duke University
School of Law in 2012.
Zachary F.
Proulx (New York) is a
member of the Complex Commercial Litigation Practice in the
Litigation & Trial Department. He focuses on financial
institution litigation and insolvency litigation, and has
represented debtors and creditors in numerous bankruptcy court
proceedings. He received his JD from the University of Michigan Law School in 2012.
David W. Rowe (Boston) is a member of the White Collar
Defense & Investigations Practice in the Litigation & Trial
Department who advises clients under criminal and civil
investigation by state and federal authorities. He represents
companies and individuals in a variety of capacities across a range
of industries, including healthcare, life sciences, and technology.
He received his JD from Pepperdine
University School of Law in 2011.
Zachary L.
Rowen (New York) is a
member of the Securities Litigation & Professional Liability
Practice in the Litigation & Trial Department. He focuses on
M&A-related litigation, securities litigation, other complex
commercial litigation, and corporate governance matters. He
represents financial institutions, corporations, boards of
directors, and individuals in high-profile matters. He received his
JD from the University of Virginia
School of Law in 2012.
Marcela Ruenes (New York) is a member of the Banking Practice
in the Finance Department. She represents investment and commercial
banks, direct lenders, borrowers, and private equity firms in a
range of domestic and complex cross-border finance transactions,
including leveraged financings, asset-based lending, debt
restructurings, and special situations. She received her LLM from
Columbia University School of Law in
2013 and her Licenciado en Derecho (JD equivalent, Law) from
Universidad Iberoamericana in 2009.
Jonathan C.
Shih (Los Angeles) is
a member of the Banking Practice in the Finance Department who
represents private equity sponsors and private and public company
borrowers in a variety of domestic and cross-border commercial
lending transactions, including asset-based and cash flow credit
facilities, acquisition financing, and syndicated facilities. He
received his JD from the University of
Southern California Gould School of Law in 2012.
Zachary J.
Thompson (San Diego)
is a member of the Investment Funds Practice in the Corporate
Department. He represents private fund sponsors, investors, and
joint venture participants in forming, investing in, and operating
private investment funds. He received his JD from the University of California, Los Angeles School of Law
in 2013.
Asia-Pacific
Lynsey Edgar (Hong
Kong) is a member of the Banking Practice in the
Finance Department who focuses on private equity finance, with
experience in cross-border acquisition financing in the
Asia-Pacific region and
Europe. She advises private equity
sponsors, corporates, credit funds, and financial institutions
across a range of financings and capital structures, including
public takeovers, private equity, and private M&A transactions.
She received her LPC from the College of Law, London in 2010 and her LLB from the
University of Edinburgh in 2008.
Ning Li (Beijing) is a member of the Capital Markets
Practice in the Corporate Department. She focuses on public company
representation, general corporate counsel, corporate governance,
initial public offerings, and capital market transactions. She
received her LLM from Washington
University in 2004 and her Bachelor of Law from China University of Political Science and Law
in 2002.
Michael D.
Rackham (Singapore) is
a member of the Mergers & Acquisitions Practice in the
Corporate Department. He advises private equity investors and
corporations in the Asia-Pacific
region on complex, cross-border M&A, disposals, auctions,
private equity and leveraged buyouts, and joint ventures. He
received his LPC from the College of Law, London in 2011, his BCL from Oxford University in 2010, and his LLB from the
University of Exeter in 2009.
Europe/UK
Rachael Astin (London) is a member of the Entertainment,
Sports & Media Practice in the Corporate Department who
focuses on commercial and regulatory matters, with a particular
emphasis on digital media and content distribution. She has
experience with film, television, sports, music, and other content
distribution deals, and counsels clients on regulatory issues
involving broadcast and on-demand distribution. She also provides
commercial advice on M&A, private equity, strategic joint
venture arrangements, and other sector-related investments. She
received her LPC from BPP Law School in 2008 and her LLB from the
University of Bristol in 2007.
Elise Auvray (Paris) is a member
of the Complex Commercial Litigation Practice in the Litigation
& Trial Department. She advises clients on a broad range of
disputes and also assists clients on a variety of compliance and
regulatory issues, with a particular focus on anti-corruption and
data privacy. She graduated from the Paris Bar School in 2013 after
receiving her postgraduate degrees in business law and
international business law from the Institut de Droit des Affaires
d'Aix en Provence in 2010, and her graduate degree in business law
from Drake University Law School in
2009.
Stefan Bartz (Hamburg) is a member of the White Collar
Defense & Investigations Practice in the Litigation & Trial
Department. He advises clients on internal investigations and
preventive compliance matters, including representation before
government agencies and the development of compliance management
systems and risk mitigation measures. He also regularly provides
compliance support in private equity and M&A deals. He received
his Dr. iur. from Bucerius Law School in 2016, completed the Second
German State Exam at the Higher Court of Hamburg in 2012, completed the First German
State Exam at Bucerius Law School in 2009, and received an LLB from
Bucerius Law School in 2008.
Rachel Croft (London) is a member of the Project Development
& Finance Practice in the Finance Department. She
represents sponsors, borrowers, banks and other institutions in
energy, infrastructure, and shipping projects, with a particular
focus on energy transition. She received her LPC from BPP Law
School in 2010 and her BA (Jurisprudence) from the University of Oxford in 2009.
Cécile Mariotti (Paris) is a member of the Transactional Tax
Practice in the Tax Department who focuses on corporate
taxation. She advises French and multinational groups, investment
funds, and financial institutions on a range of complex
cross-border and domestic transactions, including strategic
M&A, assets financings, capital markets transactions, and group
restructurings. Her practice also encompasses employment-related
tax matters, such as management equity and incentives. She received
her Master II degree in International Taxation from the University
Panthéon-Assas Paris II and HEC in
2011, and a Master degree in International Business and Tax Law in
2010 from the University Panthéon-Assas
Paris II.
Yana Nastyushenko (London)
is a member of the Capital Markets Practice in the Corporate
Department who advises clients on structured products and
cross-border OTC equity derivatives transactions, margin loans,
repos, and stock-lending trades, including in emerging markets. She
also has experience structuring hedging solutions for a variety of
financing and provides regulatory advice relating to derivatives.
She received her LPC from Nottingham Law
School and her LLB from the University
of Dundee.
Clare Scott (London) is a member of the Investment Funds
Practice in the Corporate Department who focuses on
structuring and raising private investment funds, including private
equity, infrastructure, real estate, and debt, as well as
co-investments and secondary transactions. She routinely provides
strategic advice to institutional investors in their alternative
investments, and to global asset managers with respect to marketing
funds into Europe and compliance
with European regulatory matters. She received her LPC from the
College of Law, London in 2011 and
her GDL from the College of Law, Manchester in 2010.
Daniel Splittgerber (Hamburg) is a member of the Restructuring
& Special Situations Practice in the Finance Department. He has
experience acting for clients in cross-border as well as national
restructurings, as well as out-of-court restructurings and in-court
insolvency proceedings. He completed the Second German State Exam
at the Higher Regional Court of Düsseldorf in 2012, earned his Dr.
iur. from Westfälische Wilhelms-University in 2010, and completed
the First German State Exam at Westfälische Wilhelms-University in
2008.
Shaun M.
Thompson (London) is a
member of the Executive Compensation, Employment & Benefits
Practice in the Tax Department. He advises clients on a range
of employment and pensions law issues in both a transactional and
advisory context, in relation to private equity and M&A
transactions, public company listings, restructurings,
refinancings, outsourcings, UK Pensions Regulator moral hazard risk
issues, wider UK defined benefit pension issues, and the hiring and
termination of key employees. He received his LPC from the College
of Law, York in 2008 and his LLB from
the University of Durham in
2007.
Seb Tuohy is a member of the Banking Practice in the
Finance Department. He represents borrowers and creditors on a
range of financing transactions, including project and acquisition
finance and restructuring matters. He received his Bachelor Degree
in Law from University of Otago in 2008.
Middle East
Peter J. Norris (Dubai) is a member of the Banking Practice in
the Finance Department. He represents government and
government-related entities, sponsors, and financial institutions
on a range of complex financing transactions (including Islamic
financings), with experience in Saudi
Arabia and the United Arab
Emirates. He received his LPC from the College of Law,
London in 2008 and his LLB from
the College of Law, London in
2007.
About Latham & Watkins (www.lw.com)
Latham & Watkins delivers innovative solutions to complex
legal and business challenges around the world. From a global
platform, our lawyers advise clients on market-shaping
transactions, high-stakes litigation and trials, and sophisticated
regulatory matters. Latham is one
of the world's largest providers of pro bono services, steadfastly
supports initiatives designed to advance diversity within the firm
and the legal profession, and is committed to exploring and
promoting environmental sustainability.
Notes to Editors
1 Latham & Watkins operates worldwide as a
limited liability partnership organized under the laws of the
State of Delaware (USA) with
affiliated limited liability partnerships conducting the practice
in France, Italy, Singapore, and the United Kingdom and as affiliated partnerships
conducting the practice in Hong
Kong and Japan. Latham
& Watkins operates in South
Korea as a Foreign Legal Consultant Office. Latham &
Watkins works in cooperation with the Law Office of Salman M. Al-Sudairi in the Kingdom of Saudi Arabia.
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