Blank Rome Bolsters Adds Terrence Everett in Los Angeles Office

Terrence A. Everett has joined Blank Rome LLP as a partner in the firm’s Corporate, M&A, and Securities group in the Los Angeles office.

Everett, a transactional lawyer, focuses his practice on corporate and finance transactions, mergers and acquisitions, corporate governance and securities, and real estate dealings. he joins Blank Rome from Carlsmith Ball LLP.

“We are delighted that Terrence is joining our firm,” said Grant S. Palmer, Blank Rome’s Managing Partner and CEO. “Terrence brings to Blank Rome significant strength in corporate matters across several thriving industries. He will make a fantastic addition to the Corporate group and our growing Los Angeles office, which just welcomed a prominent family law team of attorneys and professional staff led by Kristina Royce and Ashley Silberfeld to our nationally recognized Matrimonial and Family Law group.”

In a release, the firm said Everett serves as outside general counsel to various establishments that range from New York Stock Exchange companies to start up entities, often in connection with corporate structure and governance, acquisitions, operations, and financing. His clients have spanned numerous industries, including retail, financial services, agriculture, entertainment, hospitality, and gaming, among others.

“Terrence’s work aligns seamlessly with our practice and we are thrilled to have him join our team,” said Peter Schnur, Co-Chair of Blank Rome’s Corporate, M&A, and Securities practice group. “Terrence will be a key resource for both our clients and attorneys as he brings with him invaluable knowledge gleaned from a storied career of successful deals.”

“The decision to join Blank Rome came naturally,” said Terrence. “My work aligns considerably with the firm’s Corporate group and I couldn’t be more excited to join such a collegial team. I look forward to continuing to provide my clients with the outstanding service they’ve come to expect at a firm that’s growing from coast to coast.”

Everett earned his J.D. from Loyola Law School, cum laude, and his B.A. from the University of California, magna cum laude.

 

 




Perkins Coie Announces 2019 Partner Class

Perkins Coie announced that 27 counsel and senior counsel have been promoted to partner. The new partner class of 2019 includes:

• Sunita Bali (San Francisco)
• Pam Berkowitz (Chicago)
• Emily Bushaw (Seattle)
• Elvira Castillo (Seattle)
• Harvey Chen (Palo Alto)
• Ulrike Connelly (Seattle)
• Bradley Cosman (Phoenix)
• Chelsea Curfman (Denver)
• Lara Dueppen (Los Angeles)
• Sambo Dul (Phoenix)
• Deborah Dunn (Boise)
• Imri Eisner (New York)
• Danielle Fortier (Denver)
• Sarah Gillstrom (Anchorage)
• David Gold (Chicago)
• Patrick McKeever (San Diego)
• Megan Morrissey (Chicago)
• Joshua Nelson (Boise)
• Melissa Oka (Chicago)
• David Perez (Seattle)
• Lynwood Reinhardt (Dallas)
• Matthew Rojas (Phoenix)
• Holly Simpkins (Seattle)
• Victoria Smith (Palo Alto)
• Dana Syracuse (New York)
• John (Randy) Tyler (Seattle)
• Kyle Wood (Dallas)

“The 2019 partner class includes a group of attorneys who continuously demonstrate an unwavering commitment to client service and exemplify the core values of Perkins Coie’s culture,” said John Devaney, Firmwide Managing Partner. “In recognition of their substantive contributions to client work and superior leadership and legal skills, we are honored to welcome them into the partnership.”

In a release, the firm profiled all the new partners:

Perkins Coie 2019 Partner Class

Sunita Bali is a member of Perkins Coie’s Litigation practice. She primarily represents technology clients in privacy and consumer class action disputes, as well as other complex commercial litigation matters in California state and federal courts. Sunita defends companies against claims brought under California’s Unfair Competition Law and False Advertising Law and claims for breach of contract, fraud, tortious interference, invasion of privacy, trade secret misappropriation and copyright infringement. She has also handled all aspects of civil litigation, including dispositive motion practice, discovery, opposing motions for class certification, dispute resolution and trial preparation.

Pam E. Berkowitz (Chicago) is a member of Perkins Coie’s Trust & Estate Planning practice. Her practice focuses on estate planning, transfer taxation, and trust and estate administration and probate, including the creation of business and estate plans and the management and protection of wealth, while minimizing estate, gift and generation-skipping taxes. Pam has also advised clients, family office professionals, and other financial professionals on the creation, funding, and maintenance of trusts and business entities.

Emily A. Bushaw (Seattle) is a member of Perkins Coie’s Labor and Employment practice. Emily’s practice focuses on employment litigation, arbitration and counseling. Her experience includes defense of discrimination, harassment and retaliation claims, wage-and-hour class actions, and whistleblower, trade secret and non-competition claims. She also provides counsel to clients regarding human resources issues, discipline and discharge matters, employee handbooks and policies, wage-and-hour law, employee classification issues, and arbitration and separation agreements.

Elvira Castillo (Seattle) is a member of Perkins Coie’s Litigation practice. Elvira handles complex civil litigation matters concerning antitrust, unfair competition, securities regulations and internal investigations, specifically matters arising under the federal Sherman Act, Clayton Act, Federal Trade Commission Act, Foreign Corrupt Practices Act, and numerous state consumer protection acts. She has represented both plaintiffs and defendants in state and federal courts across the country in a variety of industries, including film and entertainment, aviation, food and financial institutions.

Harvey Chen (Palo Alto) is a member of Perkins Coie’s Intellectual Property practice. He focuses on all aspects of IP matters with an emphasis on patent procurement, strategy planning and counseling, post-grant validity contentions (including inter partes reviews), and litigation support for electrical and mechanical arts. Harvey also provides trademark consultation and registration services to his clients. As a native Mandarin speaker, Harvey is experienced in helping Asian companies navigate through various kinds of legal issues in the United States.

Ulrike (Rike) Connelly (Seattle) is a member of Perkins Coie’s Litigation practice. She represents clients throughout all stages of civil litigation, from advising on the need to bring litigation through the appeal. Her experience covers complex business litigation with extensive electronic discovery, trade secret disputes, franchise issues and estate litigation. Rike also regularly represents clients before the Washington State Liquor and Cannabis Board to advocate for new or different regulations, including challenging the agency’s actions in court under the state Administrative Procedure Act.

Bradley A. Cosman (Phoenix) is a member of Perkins Coie’s Corporate and Bankruptcy & Restructuring practices. A former corporate turnaround advisor with FTI Consulting and a Certified Insolvency and Restructuring Advisor (CIRA), Bradley counsels clients on multiple aspects of corporate restructuring, including legal, accounting, operational, strategic and financial issues. He represents constituents throughout the capital stack, including debtors, senior and junior secured lenders, unsecured creditors, principals and guarantors. Bradley has particular experience with privately held and middle-market companies.

Chelsea W. Curfman (Denver) is a member of Perkins Coie’s White Collar & Investigations practice. She conducts internal investigations for clients facing issues involving bribery, corruption, accounting and securities fraud, and other workplace misconduct. Chelsea identifies and assesses potential violations of laws such as the Foreign Corrupt Practices Act and other anti-bribery and anti-corruption laws, whether in the context of investigating whistleblower allegations, responding to a subpoena from regulators like the Department of Justice or Securities and Exchange Commission, or assessing risk in a potential acquisition target or supply chain partner. She also helps clients design and implement corporate compliance programs.

Dr. Lara J. Dueppen (Los Angeles) is a member of Perkins Coie’s Intellectual Property practice. She has experience in a wide range of intellectual property matters, including patent procurement and global patent portfolio management, due diligence and freedom to operate, inter partes review proceedings and patent litigation. She has represented clients in matters covering a broad range of technologies, with a primary focus on biotechnology.

Sambo (Bo) Dul (Phoenix) is a member of Perkins Coie’s Political Law group. She focuses her practice on political litigation, representing voters, campaigns, political committees, activists and others with an interest in the political process in actions in state and federal courts across the country. Bo has significant experience in voting rights matters, including challenging state and local restrictions that make it more difficult for eligible voters to participate in the democratic process. She also assists clients with compliance and internal investigations in matters involving the Foreign Corrupt Practices Act and international anti-corruption laws.

Deborah V. Dunn (Boise) is a member of Perkins Coie’s Trust & Estate Planning practice. Deborah focuses her practice on multigenerational estate planning and administration for high net worth families, family offices and owners of closely held businesses. This includes drafting sophisticated estate plans, representing clients in complex estate and gift tax audits, and advising executors in will contests and disputes with beneficiaries. She also represents trustees with respect to trust and estate administration, as well as beneficiaries with respect to rights and claims.

Imri Eisner (New York) is a member of Perkins Coie’s Emerging Companies & Venture Capital practice. He represents venture-backed companies and venture and private equity funds in a variety of securities and debt issuances, mergers and acquisitions, and corporate governance matters. Imri’s experience includes buy- and sell-side M&A, purchaser and issuer side equity financings, and origination, acquisition and distress debt financings.

Danielle L. Fortier (Denver) is a member of Perkins Coie’s Corporate practice. She represents strategic and financial buyers in structuring, negotiating and documenting a wide range of public and private company transactions, including mergers, acquisitions, divestitures, financings and restructurings. Danielle advises clients in a number of industries and is experienced with transactions in the software, technology, and consumer and agricultural products sectors.

Sarah C. Gillstrom (Anchorage) is a member of Perkins Coie’s Litigation practice. Sarah’s practice focuses on construction law and commercial litigation in both federal and state courts. In addition to representing clients in breach-of-contract litigation, she has experience assisting clients—including owners, contractors, and design professionals—in construction disputes. Sarah also drafts and negotiates construction agreements. In addition, Sarah represents clients in real estate transactions and litigation.

David J. Gold (Chicago) is a member of Perkins Coie’s Corporate practice. David’s practice concentrates on financial restructuring, bankruptcy, general commercial litigation, distressed real estate and workouts. He represents debtors, creditors and trustees in bankruptcy proceedings and has significant experience in Chapter 11 reorganizations, Chapter 7 liquidations and hotel industry restructurings.

Patrick McKeever (San Diego) is a member of Perkins Coie’s Patent Litigation practice. He handles complex patent disputes in district courts around the country and before the U.S. Patent Office’s Patent Trial and Appeal Board. Patrick’s cases have involved a wide variety software and computer-related technologies. He represents a mix of FORTUNE 500 and emerging companies.

Megan G. Morrissey (Chicago) is a member of Perkins Coie’s Mergers & Acquisitions practice. Megan focuses her practice on corporate transactions with an emphasis on debt finance. She also advises various private equity funds in multimillion-dollar portfolio acquisitions and restructurings, and regularly negotiates and structures both secured and unsecured financing transactions. Megan represents private equity sponsors, portfolio companies, commercial lending institutions, and other private and public companies, as well as borrowers in matters involving senior, mezzanine and subordinated debt transactions; acquisition financings, loan workouts and restructuring; asset-based financings; first, second and split lien financings; structured loan participations; distressed debt and investment portfolio acquisitions. She is experienced with financings in the regulated fields of telecommunications, healthcare and technology.

Joshua M. Nelson (Boise) is a member of Perkins Coie’s Intellectual Property group. Joshua counsels clients in all aspects of patent portfolio management, including the preparation and prosecution of patent applications, patent licensing and litigation, and portfolio acquisitions and sales. He has represented clients in every stage of growth across a wide variety of industries, including semiconductor manufacturing and packaging, computer hardware, telecommunications, aerospace, medical device, software, and image and video processing.

Melissa J. Oka (Chicago) is a member of Perkins Coie’s Financial Transactions and Corporate Law practices. Melissa focuses on commercial finance transactions for public and closely held companies, banks and other financial institutions, and private equity funds. She also assists companies with the New Markets Tax Credit and Opportunity Zones, and with opportunities in the hotel and hospitality sector.

David A. Perez (Seattle) is a member of Perkins Coie’s Litigation practice. David practices complex commercial litigation with an emphasis on intellectual property, consumer protection, class actions, constitutional law, unfair competition and trial practice. He regularly works on trade secret disputes, counseling clients asserting trade secret misappropriation or defending against misappropriation claims. As part of his constitutional law practice, David regularly advises clients on First Amendment, communications, media, and internet-related matters, including as litigation counsel.

Lynwood E. Reinhardt (Dallas) is a member of Perkins Coie’s Corporate practice. He focuses his practice on corporate governance and transactions, representing clients in mergers and acquisitions, recapitalizations, joint ventures, investment fund formation, initial public offerings and large private placements. Lynwood has significant representative experience in the energy, healthcare and technology sectors.

Matthew L. Rojas (Phoenix) is a member of Perkins Coie’s Environment and Natural Resources and Energy Law practices. He counsels municipal and industrial clients on complex natural resource and environmental issues, including the development of natural resources and renewable energy on public lands and within Indian Country, the acquisition, transfer, and wheeling of surface and groundwater rights in the Southwest, and environmental permitting and compliance work for utility and infrastructure projects such as solar and wind farms, and power lines and pipelines on private, state and federal lands. Many of Matthew’s clients operate in the mining, utility and agricultural sectors.

Holly M. Simpkins (Seattle) is a member of Perkins Coie’s Intellectual Property Litigation practice. Holly represents both plaintiffs and defendants in trademark and copyright litigation throughout the United States. She also has extensive experience counseling clients on intellectual property and brand protection strategies, including securing, policing, investigating and enforcing her clients’ rights as well as investigating and removing from the market counterfeit and other unauthorized goods. In addition to federal court litigation, Holly regularly appears in matters before the Trademark Trial and Appeal Board.

Victoria Q. Smith (Palo Alto) is a member of Perkins Coie’s Patent Litigation practice. She focuses on litigating patent and other intellectual property rights in the telecommunications, biotech, electronics and software fields, including technology related to cellular devices, data encryption and compression, pharmaceuticals, email, mapping and enterprise software, and graphics software and chips. She handles all aspects of patent infringement cases, including e-discovery, invalidity and non-infringement defenses, fact and expert witness depositions, Markman hearings, summary judgment motions and trial.

Dana V. Syracuse (New York) is a member of Perkins Coie’s Technology Transactions & Privacy Law practice. Dana concentrates his practice in the blockchain, fintech, e-commerce and financial services sectors, working with clients on regulatory, business and product counseling, cyber and data security, and enforcement concerns. He works with a range of fintech and digital business clients on federal and state regulatory, compliance and enforcement matters; complex bank regulatory issues, including privacy, anti–money laundering; Bank Secrecy Act and Know-Your-Customer matters; consumer protection; and contract drafting and negotiations.

John (Randy) R. Tyler (Seattle) is a member of Perkins Coie’s Litigation and Privacy & Security practices. Randy concentrates his practice on privacy, security and free speech issues associated with electronic communications and activity. He represents communications providers with respect to digital search, seizure and disclosure issues, and has deep expertise on issues involving the Stored Communications Act, Wiretap Act, Pen Register Trap and Trace Act, Communications Assistance for Law Enforcement Act, All Writs Act, California Electronic Communications Privacy Act, and related state and local laws.

Kyle Wood (Dallas) is a member of Perkins Coie’s Technology Transactions & Privacy Law practice and the Blockchain Technology & Digital Currency industry group. Kyle advises technology clients, ranging from startups to FORTUNE 100 companies, on an array of technology transactions and privacy matters, with a specific emphasis on blockchain technology. Kyle works with clients in the telecommunications, information technology, internet, medical device, biotechnology and energy industries.

 

 




Arent Fox Expands San Francisco Office with Addition of Kay & Merkle Team

Arent Fox LLP announced the addition of seven lawyers from Kay & Merkle, a San Francisco-based commercial, real estate, automotive, and litigation firm with deep ties in the Bay Area. The Kay & Merkle team joined the firm on January 1, 2019. The expansion follows the announcement of Arent Fox’s merger with Posternak Blankstein & Lund LLP, a 55-lawyer Boston-based firm focusing on business transactions and complex litigation.

“This group from Kay & Merkle shares our values, culture, and approach,” said firmwide Managing Partner Cristina A. Carvalho. “After working with them for many years, we have come to find that their sterling reputation is well-earned and their focus on the automotive, financial, and real estate industries is a great match for our key practice areas. We are delighted to welcome the Kay & Merkle team and look forward to working with them.”

Joining Arent Fox are Kay & Merkle Founders Steven Kay and Walter F. Merkle and attorneys W. Bruce Bercovich, John W. Merkle, Angele C. Solano, June M. Lee, and Douglas A. Marshall. A Bay Area institution since 1973, Kay & Merkle has extensive experience in the structuring, acquisition, sale, development, financing, and leasing of significant real estate projects and automotive matters.

“Adding Steven, Walter, Bruce, John, and the rest of their team is big for Arent Fox and our growing San Francisco office,” said San Francisco Managing Partner Richard L. Brand. “They provide depth and talent to an already strong and growing transactional practice. The ‘Kay & Merkle brand’ is well-respected in Northern California and beyond and for good reason. Their practical counsel and bottom-line solutions are precisely the type of service that Arent Fox provides. We are happy to welcome them to the Arent Fox family.”

The attorneys joining Arent Fox include:

• Steven Kay: Kay is a founding member of San Francisco-based law firm Kay & Merkle. He has been advising clients in real estate, business transactions, and sports matters for over four decades. Mr. Kay currently represents family offices, Napa Valley vintners, and real estate developers throughout Northern California.

• Walter F. Merkle: Merkle is a founding member of Kay & Merkle. He has extensive experience in the acquisition, sale, financing, and leasing of commercial real estate properties. In connection with many transactional matters, Mr. Merkle has formed and structured business entities, including limited partnerships and limited liability companies. In addition, Mr. Merkle has significant experience representing family offices.

• W. Bruce Bercovich: Bercovich focuses on a variety of commercial transactions with an emphasis on the retail automotive industry, where he has advised on the purchase and sale of more than 300 new vehicle dealerships (automobiles, motorcycles, and trucks) in California and other states. Mr. Bercovich maintains subspecialties in real estate purchase, sales and leasing, and in matters relating to the retail automotive industry.

• John W. Merkle: Merkle focuses primarily on business transactions that involve acquisitions and sales and the structure of private business organizations, which includes corporations, limited liability companies, and limited partnerships. Mr. Merkle provides advice regarding a broad range of transactions, including multi-generational family business matters.

 

 




Lowenstein Sandler Elects Seven to Partnership

Lowenstein Sandler announced that seven lawyers have been elected to the partnership in 2019: Lesley P. Adamo, Dmitry Andreev, Marc S. Kurzweil, James B. O’Grady, Eileen Overbaugh, Peter Slocum, and Julie Levinson Werner.

In a release, the firm said these promotions represent the largest group of lawyers promoted to partner in the firm’s history.

The firm also elevated six associates to counsel: Brandon Fierro, Joseph G. Jones, Robert Lynn, Brianne Perlman, Nedda N. Salehi, and Leah Satlin. All promotions became effective Jan. 1, 2019.

“It is an honor to welcome these accomplished attorneys as partners and counsel to help lead the firm into the future,” said Chairman and Managing Partner Gary M. Wingens. “These promotions reflect our commitment to providing clients with service that is innovative, solutions-driven, and reflective of our deep understanding of their businesses. And it is further evidence that Lowenstein is the right place for talented lawyers to pursue productive, fulfilling careers. We are confident that these outstanding individuals will play a critical role in the firm’s continued success.”

New Partners

Lesley P. Adamo is a member of the firm’s Tax group, where she works with clients, as well as her corporate colleagues, to understand clients’ business objectives and help ensure that transactions are structured tax-efficiently. She provides counsel on a variety of transactional tax matters, including corporate, partnership, and individual tax issues arising at the federal, state, and international levels, and she advises clients in connection with mergers and acquisitions, joint ventures, fund formation, and the various tax issues specific to startup businesses. Lesley earned her LL.M. in Taxation from New York University School of Law and her J.D. from Fordham University School of Law. She received her B.A. in Economics and Psychology from Amherst College.

Dmitry Andreev is a member of the firm’s Tech Group and Patent Counseling & Prosecution group, where he guides clients through the complex landscape of intellectual property law with the goal of enhancing their IP assets and protecting their investments. A registered patent attorney with considerable technical experience, he drafts and prosecutes patent applications in the computing science and electrical engineering fields, including computer hardware and software, network architecture and management, communication protocols, wireless communications, image processing, cloud computing, and blockchain-related applications. Dmitry earned his J.D. from Rutgers Law School and his M.S. in Computer Engineering from the Moscow Institute of Steel and Alloys.

Marc S. Kurzweil is a member of the firm’s Debt Financing and Corporate groups, where he advises international and U.S.-based lenders and borrowers from a range of industries, including insurance, paper and forest products, pharmaceuticals, real estate, financial services, telecommunications, manufacturing, health care, art, technology, and diamonds and jewelry. He represents agent banks, lenders, corporate borrowers, private equity funds, hedge funds, real estate investment trusts (REITs), and high-net-worth individuals in a variety of complex financing transactions. Marc earned his LL.M. from Fordham University School of Law and his J.D. from New York Law School, where he was the staff editor of the Media Law and Policy Journal. He received his B.B.A. from The George Washington University.

James B. O’Grady is a member of the firm’s Capital Markets & Securities and Transactions & Advisory groups, where he focuses on capital markets and securities law, representing companies, investment banks, and investors in public and private offerings and SEC compliance. His transaction experience includes initial public offerings, follow-on offerings, secondary resales, private investments in public equity (PIPEs), registered directs (RDs), confidentially marketed public offerings (CMPOs), rights offerings, reverse mergers, convertible preferred equity and debt offerings, tender offers, and other transaction structures. James earned his J.D. from Columbia University School of Law, where he served as the finance editor of the Columbia Business Law Review. He received his M.B.A. from Columbia Business School and his B.A. from Harvard University, cum laude.

Eileen Overbaugh is a member of the firm’s Investment Management group, where she advises hedge funds, private equity funds, venture funds, and other pooled investment vehicles in connection with structuring, formation, and ongoing operations. Eileen negotiates seed and strategic investments as well as joint ventures, managed account arrangements, and other alternative investment relationships. Her practice is focused particularly on the business arrangements between principals of hedge funds and private equity funds, including governance of the investment manager and general partners of such funds. Eileen earned her J.D. from Seton Hall University School of Law and her B.A. from Drew University, both summa cum laude.

Peter Slocum is a member of the firm’s Litigation department, where he represents public and private clients on complex issues ranging from white collar criminal defense to internal investigations, civil litigation, regulatory compliance, constitutional law, and business divorce. Peter served as First Assistant Attorney General of New Jersey; in that role, he was the second-ranking lawyer in the state, serving as the Acting Attorney General on numerous matters and acting as one of the principal legal advisors to both the Governor of New Jersey and the Attorney General of New Jersey. Prior roles include Deputy Attorney General, Assistant Counsel to the Governor, and Counsel to the Attorney General. He earned his J.D., magna cum laude, from Seton Hall University School of Law, where he served as the business editor of the Seton Hall Law Review, and his B.S., magna cum laude, from Rutgers, The State University of New Jersey.

Julie Levinson Werner is a member of the firm’s Employment Counseling & Litigation group, where she provides clients with strategic advice on the potentially wide-ranging impact of employment matters. She serves a dual role as both employment law counselor and litigator, considering the employment actions of a business from every possible angle. Julie handles employment issues for clients—from startups to public companies—in a wide variety of sectors, including technology and life sciences entities. She earned her J.D. from Benjamin N. Cardozo School of Law, magna cum laude, and received her B.A. from Cornell University, with distinction.

 

 




Sidley Adds M&A Dealmaker John H. Butler in New York

Sidley Austin LLP announced that John H. Butler has joined the firm as a partner in New York and will be a member of its global M&A and Private Equity practice. Butler joins from Davis Polk & Wardwell LLP. He works on high-profile mergers and acquisitions, private equity transactions, restructurings and general corporate representations.

“John’s proven dedication to client service and ability to lead on major deals makes him a perfect addition as we continue to build out our M&A and Private Equity practice in New York and globally,” said Brian Fahrney, co-leader of Sidley’s global M&A and Private Equity practice and member of the firm’s Executive Committee. “His practice, pedigree and talent are first-rate. Sidley is the ideal choice for a lawyer of John’s caliber, particularly given the depth of our existing M&A and private equity capabilities and demonstrated commitment to expansion.”

Butler represents corporate, private equity and hedge fund investors on complex transactions. He also has experience advising financial institutions in connection with advisory assignments.

“Having been the lead on numerous high-profile deals, John will be instrumental in assisting clients as they navigate the competitive deal atmosphere in the New York market, specifically in the public M&A space,” said Sam Gandhi, managing partner of Sidley’s New York office and member of the firm’s Executive Committee. “Sidley’s collaborative environment offers John a terrific opportunity to continue building his prominent practice while working alongside a highly inclusive group of colleagues that embody the spirit of teamwork.”

Butler’s arrival follows that of Steven Kolyer, Adam Weinstein, Tony Feuerstein, Kai Liekefett and Daniel Serota, all corporate partners in the New York office.

 

 




Hogan Lovells Adds David Walsh to Antitrust and M&A Practice in Boston

Former IBM Vice President and Assistant General Counsel David Walsh has joined Hogan Lovells’ Boston office as senior counsel in the Antitrust, Competition and Economic Regulation practice.

“Hogan Lovells’ global regulatory practice has an exceptional reputation for being able to handle complicated cross-border matters seamlessly,” said Walsh. “I have worked with the team at Hogan Lovells for many years, and am looking forward to collaborating with them on a more regular basis.”

Walsh started his career with IBM and was a senior lawyer at IBM for over 36 years. Before joining Hogan Lovells, Walsh served in several senior legal leadership positions including, most recently, as the leader of IBM’s Global Business Services legal department, as well as leading IBM’s merger and acquisition and antitrust legal teams. He was also a member of IBM’s global senior leadership team. In addition, Walsh served as IBM’s head of global antitrust for many years, where his accomplishments included successfully resolving multiple matters involving the US Department of Justice, the European Commission, and other antitrust authorities.

In a release, the firm said Walsh’s choice to join Hogan Lovells is a product of the long-term relationship that has existed between IBM and Hogan Lovells for more than 30 years, including with respect to antitrust matters.

“We are delighted that after years of working with him at IBM, David has decided to join our team,” said Edith Ramirez, co-head of the firm’s Antitrust, Competition, and Economic Regulation practice. “His onboarding will strengthen our relationship with IBM, a long-time client, and also bolster our experience to clients in the technology industry.”

Walsh earned his J.D. from Suffolk University Law School in 1992 and his B.A. from the University of Miami in 1979.

 

 




Farrell Fritz Promotes Jaclene L. D’Agostino and Darren A. Pascarella to Counsel

Farrell Fritz announced the promotions of Jaclene L. D’Agostino and Darren A. Pascarella to Counsel effective January 1, 2019.

Jaclene L. D’Agostino, a Garden City, NY, resident, is a trusts and estates litigation attorney. She earned her J.D. from St. John’s University School of Law and her B.A. from Barnard College.

Darren A. Pascarella, a Dix Hills, NY, resident, is a bankruptcy and commercial litigation attorney. He earned his J.D. from St. John’s University School of Law and his B.A. from Brown University.

 

 




FisherBroyles Adds Health & Pharmacy Law Partner Janna King in Houston

Janna King has joined FisherBroyles, LLP as a partner in the firm’s Houston office and Health & Pharmacy Law practice group.

“We are thrilled to welcome Janna to FisherBroyles in our Houston office,” said FisherBroyles’ General Counsel and Managing Partner of Litigation Joel M. Ferdinand. “Our healthcare clients will benefit greatly from Janna’s deep experience, both with Big Law and in-house, representing healthcare companies and institutions with a full range of corporate matters and transactions.”

King said, “I look forward to this new adventure with FisherBroyles in Houston. Through its efficient and cost-effective Law Firm 2.0 model, FisherBroyles offers great value and a high level of service to clients with diverse and complex legal challenges in the healthcare arena.”

In a release, the firm said King represents health care industry clients, including hospitals and health systems, outpatient rehabilitation, ambulatory surgery centers, physician practice groups, individual physicians, and home health agencies. Previously serving as general counsel for several multi-state, multi-site health care companies, she has been involved in health care transactions including asset purchase, stock purchase, merger, joint venture and management services transactions. In addition, she has served as general counsel for several private equity portfolio companies and as corporate secretary for multiple boards. King’s experience also includes payor relations, credentialing, managed care contracting and billing/reimbursement matters, and development and implementation of compliance programs, plans and policies, and health care audit and risk management programs.

Most recently, King served as general counsel and chief compliance officer for Professional PT (Professional Physical Therapy) clinics headquartered in New York.

She received her J.D. from the University of Memphis and her Bachelor of Science from Mid-America University.

 

 




The 10 Worst Law Schools in the Country

The Faculty Lounge has studied the American Bar Association’s recently released Standard 509 reports from every accredited law school in the country and drawn some conclusions about which are the least selective.

In the report, David Frakt, who serves as chair of the National Advisory Council for Law School Transparency, writes that 2017 defending champion Western Michigan University Thomas Cooley Law School repeats for 2018, claiming the number 1 spot on the list of bottom 10 schools.

According to his analysis, Cooley enrolled at least 135 students with LSATs at 139 or below, the bottom 12 percent of all LSAT takers.

His article lists the other nine law schools in the bottom-10 list.

Read the Above the Law article.

 

 

 

 




Sidley Elects 30 to Its Partnership

Sidley Austin LLP announced the names of its newly elected partners, listed below by office and area of practice. These individuals will formally become partners in the firm effective Jan. 1, 2019.

“We are incredibly proud to welcome each of these highly talented lawyers to the partnership,” said Mike Schmidtberger, chair of Sidley’s Executive Committee. “They are trusted client advisers who personify collegiality and teamwork, traits that make up the very core of our firm’s inclusive culture and drive our continued success. We embrace our new partners and wish them all the best in this next exciting chapter of their careers.”

The new Sidley partners are:

Century City
Rachel A. Straus, Litigation
Chicago
Jonathan A. Blackburn, M&A and Private Equity
Stephanie H. Dobecki, Insurance
Lauren A. Gallagher, Tax, Employee Benefits and Executive Compensation
Steven J. Horowitz, IP Litigation
Kelly A. Lazaroff, Global Finance
Nathaniel C. Love, IP Litigation
Donielle McCutcheon, Healthcare and FDA
Michelle A. Ramirez, Litigation
Megan H. Roberts, Global Finance
Simon M. Saddleton, Investment Funds
Richard M. Silverman, Tax, Employee Benefits and Executive Compensation
Brent M. Steele, M&A and Private Equity
Chad Vance, Insurance
Dallas
Banks Bruce, Global Finance
Houston
Zackary Pullin, Tax, Employee Benefits and Executive Compensation
London
Lyndsey Laverack, M&A and Private Equity
New York
Ayo K. Badejo, M&A and Private Equity
Melissa Colón-Bosolet, Litigation
Kate L. Lashley, Regulatory and Enforcement
Dana C. MacGrath, Litigation
William Mahouski, Capital Markets
Alexi M. Poretz, Insurance
Palo Alto
Matthew J. Dolan, Litigation
San Francisco
Kevin R. Rubino, Litigation
Singapore
Ankit Kashyap, Capital Markets
Washington, D.C.
Scott M. Border, IP Litigation
Joshua J. Fougere, Litigation
Deepti A. Kulkarni, Healthcare and FDA
Arif S. Noorani, Healthcare and FDA

 

 




Alabama Bar Association Approves Privacy Law Specialty

The Alabama Bar Association has approved the Privacy Law Specialty authorized by the American Bar Association (ABA) and certified by the International Association of Privacy Professionals (IAPP). This is the ninth specialty designation in the state, the IAPP said in a release.

The Privacy Law Specialist (PLS) certification is administered by the IAPP and accredited by the ABA, marking the fifteenth legal specialty accredited by the ABA. The credential is available to attorneys admitted to a U.S. state bar who pass the CIPP/US exam, as well as either the CIPM or the CIPT programs. Qualifying attorneys must also pass the PLS ethics exam administered by the IAPP or submit a recent MPRE score of 80+, provide proof of “ongoing and substantial” involvement practicing privacy law, supply evidence of at least 36 hours of continuing education in privacy law for the preceding three years, and provide at least five peer references from attorneys, clients or judges attesting to the attorney’s privacy law qualifications.

“There is an increasing importance for legal teams to be well-versed on the rapidly evolving area of privacy law,” said J. Trevor Hughes, IAPP president and CEO. “With this designation, each lawyer demonstrates his or her qualifications to remain at the forefront of this legal field and join other leaders in a key intersection of policy, law and technology.”

To date, only 40 attorneys have achieved the PLS nationwide including three practicing in Birmingham:

Paige Boshell
Managing Member, Privacy Counsel LLC
privacycounselllc.com
Boshell has also been designated a Fellow of Information Privacy and is certified CIPP/US (United States law), CIPP/E (EU law), and CIPM (privacy management).

Elena Lovoy
Of Counsel, McGlinchey Stafford
www.mcglinchey.com
Lovoy has also been certified CIPP/US (United States law), CIPP/E (EU law), CIPP/C (Canadian law), CIPM (privacy management), and CCEP (compliance and ethics professional).

Josh Torres
Corporate Regulatory and Privacy Counsel, iCIMS, Inc.
www.icims.com
Torres has also been designated a Fellow of Information Privacy and is certified CIPP/US (United States law), CIPM (privacy management), and CIPT (privacy technologist).

Interested attorneys may find more information on applying to become a Privacy Law Specialist at https://iapp.org/certify/pls/ or email pls@iapp.org.

 

 




Lawyer Gets License Suspended for Bullying Judge

Bloomberg Law reports that a New York lawyer had his license suspended for one year for trying to bully a judge who held his clients in contempt, and accusing another judge of “egregious” behavior for sanctioning him for filing a frivolous lawsuit.

A trial judge ordered Jonathan Steinberg to pay $28,600 in attorneys’ fees and $5,000 to the Lawyers’ Fund for Client Protection for filing a meritless suit on behalf of himself, but he didn’t pay either fine, according to Bloomberg’s Bernie Pazanowski.

When a judge in another case testified at Steinberg’s sanction hearing, rather than apologizing, Steinberg yelled at him and tried to intimidate him, Pazanowski writes.

Read the Bloomberg Law article.

 

 




Barnes & Thornburg Names John Koenig Atlanta Managing Partner

John Koenig has been elected managing partner of Barnes & Thornburg LLP’s Atlanta office, effective Nov. 5, 2018.

Koenig succeeds Stuart Johnson, a veteran corporate and transactional attorney who joined the firm to open the Atlanta office in 2009. Johnson will return to the full-time practice of law, in which he advises middle market clients on general business matters, mergers and acquisitions, joint ventures and corporate financing transactions.

“We appreciate Stuart’s numerous contributions over the years, starting with our first foray into the Southeast and culminating with the full-service office we now have in one of the premier business and transportation hubs in the world,” said Bob Grand, firm managing partner. “With Stuart at the helm, the office has been one of the fastest-growing law firm offices in Atlanta, and we are excited about the continued momentum.”

Koenig, a 16-year veteran of Barnes & Thornburg, is a partner in the firm’s Labor & Employment Department. He is a management-side labor and employment attorney with a national practice, with an emphasis on traditional labor matters such as collective bargaining, labor arbitrations and NLRB cases.

“I am honored by the support of my partners and look forward to building upon the great foundation we have established in our decade here in Atlanta,” said Koenig. “I am excited to continue our progress and stay focused on delivering value and relentless client service, above and beyond what clients expect, which distinguishes us from other firms.”

 

 




Natalie Friend Wilson Promoted to Langley & Banack Shareholder

Natalie Friend Wilson has been promoted to shareholder at Langley & Banack, Inc. and will lead the firm’s cybersecurity practice, as well as continue to practice in bankruptcy and litigation.

The firm said Wilson represents debtors, creditors, and bankruptcy trustees in complex insolvency proceedings, including related litigation and appeals. She also counsels clients on privacy and data protection, data breach response, cybersecurity and general cyber-contracting matters, as head of the Firm’s Cybersecurity, Data Protection and Privacy Practice Group.

Langley & Banack’s Cybersecurity team assists clients with drafting and implementation of cyber-security and general incident response plans and structures, enhanced compliance, and governance policies and protocols, the firm said in a release. They also advise financial institutions and industry clients in the drafting and negotiation of their website development, website hosting, SaaS agreements and other internet and data-based service agreements. As such, the practice group assists organizations to manage rapidly evolving privacy threats and mitigate the potential loss and misuse of information assets.

Wilson is active in the Military Spouse JD Network, a bar association for lawyers married to members of the armed forces. She is active in the local Air Force community and currently Key Spouse Mentor for the 836th Cyberspace Operations Squadron.

Wilson holds a B.A. from St. Mary’s College of Maryland, summa cum laude, and a J.D. from the University of Hawai’i, William S. Richardson School of Law, where she graduated cum laude.

She has been honored as a Professional “On the Rise” by Texas Lawyer Magazine (2018), San Antonio Business Journal’s 40 Under 40 (2016), and the Belva Lockwood Outstanding Young Lawyer by the Bexar County Women’s Bar Foundation (2014).

 

 




Transactional Tax Partner Jeffrey Tate Joins Arent Fox

Arent Fox LLP announced the expansion of its Tax practice in Washington, DC with the addition of partner Jeffrey Tate. Tate’s practice focuses on domestic and international transactional work, and includes counseling on mergers and acquisitions, real estate investments, joint ventures, securitizations, private equity and hedge fund investments and structuring, financial products, pass-through entities, FATCA compliance, and capital markets transactions.

Tate joins Arent Fox from Shearman & Sterling LLP, where he worked with corporate, financial institution, investment fund, and sovereign clients. Tate is fluent in Portuguese and he was principally responsible for overseeing all Latin American capital markets tax matters at his prior firm. He also has experience advising Latin American and other clients on fund formation, mergers and acquisitions and inbound investment matters.

The firm said Tate’s recent work includes advising sovereign wealth funds on U.S. real estate investment and development matters and fund investments; advising a Brazilian digital payments processer on its NYSE-listed initial public offering; and advising various private equity, real estate, hedge, and other investment funds on structuring and tax matters and portfolio acquisitions.

 

 




Steven Pflaum Honored by the Illinois Judges Association

Steven Pflaum, a Neal Gerber Eisenberg partner and co-chair of the firm’s litigation department, was honored by the Illinois Judges Association (IJA) at its annual luncheon on Dec. 7, 2018, for his service on the Illinois Judicial Ethics Committee. The event also honored retired Illinois Supreme Court Justice Charles Freeman and outgoing Illinois Attorney General Lisa Madigan.

“I am heartened by the IJA’s recognition that our partners continue to guide the legal profession on integrity, ethics, and service,” said Scott J. Fisher, the firm’s managing partner. “One of our founders, the late Phil C. Neal, set a shining example for us all, and I am certain that Phil would share our collective pride that Steve has been recognized for his dedicated and enduring work with an organization that he has been a member of since its founding.”

The Illinois Judicial Ethics Committee is a joint committee of the IJA, Chicago Bar Association, and Illinois State Bar Association that provides guidance to judges regarding their responsibilities under the Illinois Code of Judicial Conduct and recommends revisions to the Code to the Illinois Supreme Court. Steve has served as a member of the group since its founding in 1992 and has served as the chair since 2013.

“Steve Pflaum’s dedication to helping judges learn about ethics is an extraordinary contribution to the legal community,” said James E. Snyder, president of the Illinois Judges Association and an associate judge of the Cook County Circuit Court. “His hard work helps us all do better.”

The IJA consists of more than 1,250 current and retired judges and supports judicial excellence and professional development and judicial education, fosters public confidence in an independent judiciary, works to preserve the independence of the judiciary by educating the public and students, and promotes a diverse judiciary that administers justice in a fair and impartial court system.

 

 




Winston Announces 21 Newly Elected Partners

Winston & Strawn announced that 21 attorneys have been elected to partner. Spanning five practice areas and nine offices, the following attorneys were promoted:

• Scott Ahmad (Chicago) is a litigator and trial attorney who devotes a significant part of his practice to defending companies in the medical device/pharmaceutical, food, dietary supplement, and technology industries.

• Brian Bailey (Charlotte) represents lending institutions in connection with loans to finance retail, hotel, office, condominium, and multifamily properties.

• Nolan Bolduc (Chicago) has a wide range of experience in corporate finance matters, including corporate lending, structured finance, and debt capital markets transactions.

• Ilya Bubel (New York) focuses his practice on M&A and other complex business transactions on behalf of private equity sponsors and other financial investors, as well as public and private companies across various industries.

• Katrina Eash (Dallas) is a trial lawyer who concentrates her practice in complex commercial and intellectual property litigation. She also has experience in high-risk employment litigation.

• Christine Kolosov (Los Angeles) concentrates her practice in the development, financing, and sales of renewable energy projects and in the representation of water utilities and other companies in regulatory proceedings before the California Public Utilities Commission.

• Maria Kostytska (Paris) is an international arbitrator and litigator who regularly serves as lead counsel to sovereign states, private companies, and individuals across a variety of industrial sectors.

• Rex Mann (Dallas) is a trial lawyer who focuses his practice on complex civil litigation concerning commercial and intellectual property matters. He often works with companies in the technology sector or matters involving complex technology, as he adds additional value through his background in engineering and understanding of the technical issues in the matters.

• Shannon Murphy (Chicago) is a member of the firm’s White Collar, Regulatory Defense, and Investigations group as well as the firm’s Global Privacy and Data Security Task Force and focuses her practice on internal investigations, data protection counseling, and complex litigation, particularly matters involving potential criminal liability or trade secret issues.

• Alex Niebruegge (Houston) concentrates his practice on energy sector transactions, mergers and acquisitions, private equity, and other corporate matters.

• Brian Nisbet (Chicago) focuses his practice on patent litigation, in both the pharmaceutical and telecommunications industries, complex commercial litigation, and class action defense in cases alleging design defect and consumer fraud.

• Jason Parker (London) is a project development attorney advising clients on energy and infrastructure projects that are large-scale, complex, and highly technical.

• Conor Reidy (Chicago) concentrates his practice on complex commercial litigation, antitrust merger review, and antitrust counseling.

• Eimeric Reig-Plessis (San Francisco) is a patent litigator with significant experience in Hatch-Waxman litigation, Federal Circuit appeals, and inter partes reviews.

• Justin Reinus (Dallas and Los Angeles) advises on initial public offerings and other equity offerings, high yield and investment-grade debt offerings, and spin-offs. He also advises clients on day-to-day securities disclosure and corporate governance matters.

• Jennifer Stadler (New York) advises public and private companies, private equity clients, and fiduciaries on employee benefits and executive compensation matters.

• Matthew Stark (New York) focuses his practice on complex commercial litigation, predominantly in the areas of class actions and insurance. He also has experience litigating disputes in the areas of antitrust, consumer fraud, and sports and entertainment.

• Courtney Tygesson (Chicago) concentrates her practice in capital markets transactions, mergers and acquisitions, and corporate governance matters. She has experience representing both issuers and underwriters in debt and equity offerings, including IPOs and offerings of high-yield securities.

• Ryan Walden (New York) represents private equity funds and their portfolio companies throughout the life cycle of an investment, from the initial acquisition and debt financing through the ultimate sale. He also works with entrepreneurs and their companies on day-to-day corporate counseling, equity and debt financing, and sale transactions.

• Thomas Weber (Chicago) concentrates his litigation and trial practice on complex commercial disputes. He has experience handling breach of contract, fraud, post-closing M&A, securities, and insurance matters.

• Owen Zingraff (Charlotte) represents borrowers and lenders in connection with syndicated and bilateral credit facilities, including asset‐backed, term and revolving, and acquisition facilities. He also has experience with a variety of M&A, fund formation, and other corporate transactions.

Winston & Strawn LLP is an international law firm with 16 offices located throughout North America, Asia, and Europe.

 

 




Former Swissmedic Head of Legal Affairs to Join Sidley in Switzerland

Andreas Balsiger Betts, the former Head of Legal Affairs at Swissmedic, will join Sidley Austin LLP as a senior advisor in Switzerland. The firm also announced that Olivier Goarnisson, the former Director of Medical Affairs Operations Europe and a lawyer at a global pharmaceutical company, has joined the life sciences practice in Switzerland as counsel.

Ina release, the firm said Andreas Balsiger Betts previously served as the head of Legal Affairs and member of the Management Board of Swissmedic, the Swiss Agency for Therapeutic Products. In this capacity, he had a role in drafting the complete revision of the Swiss Federal Act on Therapeutic Products and its ordinances, which will come into force in 2019. He represented Swissmedic in all the Swiss parliamentary committee meetings in this context as well as in all meetings with EU member state agency counterparts. At Sidley, he will advise on regulatory matters in the life sciences industry.

The firm said Olivier Goarnisson possesses dual qualification as a lawyer and medical doctor, and will focus his practice on matters related to clinical trials, non-interventional studies, pharmacovigilance, marketing authorizations, market access, data protection, and compliance and enforcement.

“Andreas’s arrival initiates our effort to provide the first comprehensive global life sciences legal practice in Switzerland, offering a deep, three-continent perspective to established global companies, to the emerging biotechnology sector, and to the many global life sciences companies that call Switzerland home,” said Scott Bass, leader of Sidley’s global Life Sciences practice. “Andreas is highly recognized in the Swiss life sciences industry for his in-depth knowledge of the regulatory environment. His insights into Swiss institutions will significantly bolster our ability to offer global solutions to local challenges for clients in the life sciences sector. We are very happy that Olivier also joins our firm, bringing his experience in a wide range of matters related to life sciences regulatory law, specifically in the pharmaceutical industry.”

In his role as head of Legal Affairs and Member of the Management Board of Swissmedic, Andreas Balsiger Betts was in charge of establishing and maintaining legal guidance for Swissmedic’s policies, procedures and practice, both on the strategic and the day-to-day level. With his division of specialized prosecutors, he also was responsible for law enforcement initiatives within the remit of Swissmedic. Under his guidance, his team represented Swissmedic in all court cases regarding administrative and penal decisions taken by the agency, against claims of liability and in freedom of information inquiries.

Olivier Goarnisson oversaw his company’s execution of post-authorization studies and related interactions with regulatory authorities. He also oversaw programs through which the company provided support for academic research in Europe. In this role, he ensured compliance of the company’s academic support programs with anti-corruption and pharmacovigilance requirements. He also helped the company manage intellectual property and product liability risks that may arise from involvement in academic research. Before moving in-house, he worked for six years as a lawyer in Sidley’s Brussels office, where he worked on regulatory law, clinical trials, pharmacovigilance and data protection issues affecting clients in the life sciences industry.

 

 




Austin Holland Joins Bradley’s Nashville Office as Associate

Austin W. Holland has joined Bradley Arant Boult Cummings LLP’s Nashville office as an associate in the Litigation Practice Group, focusing on financial services.

“It is a pleasure to welcome Austin to our Nashville office,” said Bradley Nashville Office Managing Partner Lela Hollabaugh. “Austin’s background and experience make him a great addition to our already deep bench of litigators and other Banking and Financial Services Practice Group attorneys who service a broad range of banks, lenders and financial services institutions.”

In a release, the firm said Bradley represents six of the 10 largest banks and 16 of the 20 largest mortgage servicers in the United States. Many of the firm’s attorneys also serve in leadership roles with various prominent financial services trade organizations including the ACMA, MBA, ACCFSL, AFSA, and AllRegs.

Prior to joining Bradley, Holland worked for the U.S. Department of Housing and Urban Development in the Office of Litigation, where he handled matters related to reverse mortgages, bankruptcy, foreclosures, grant recaptures, withdrawals of SAFMR and AFFH rules, religious discrimination, and the Appointments Clause of the U.S. Constitution.

Holland clerked in the Office of the District Attorney in Nashville and the U.S. Attorney’s Office for the Middle District of Tennessee.

Holland received his J.D. from Vanderbilt University Law School and his Bachelor of Business Administration from Southwestern Oklahoma State University.

 

 




Supreme Court Suggests Forcing Lawyers to Pay Bar Association Dues Violates Their Free Speech

The U.S. Supreme Court may be on verge of upsetting the longstanding system of states requiring lawyers to pay dues to bar associations, reports the Los Angeles Times.

At least 30 states require the dues, in most cases with bar associations regulating the legal profession by licensing lawyers and disciplining those who violate the rules. Lawyers in turn are required to pay dues to cover the cost, explains the TimesDavid G. Savage.

Savage writes:

“In a brief order on Monday, the court overturned a ruling last year by the U.S. 8th Circuit Court of Appeals that had upheld mandatory bar dues in North Dakota and sent the case back “for further consideration in light of Janus.”

In Janus v. AFSCME, the court last June struck down state laws in California and elsewhere that required teachers and other public employees to pay fees to support a union.

Read the LA Times article.