In the past year, the number of FCPA investigations and enforcements has surged, and recent financial reform legislation will continue to drive this trend through 2010 and beyond. Many sectors are under the microscope. Enforcement authorities have demonstrated a greater interest in targeting individuals and — as a result — there have been an unprecedented number of FCPA investigations and trials as of late. These trends are prompting companies doing business outside of the U.S. to take a closer look at their global operations practices and strategies.
Across a variety of sectors, our attorneys have successfully represented individuals, companies, and financial institutions in (proactively and reactively) addressing FCPA compliance and a number of bribery, fraud and abuse, and related matters.
Our FCPA expertise includes:
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Additionally, we have significant compliance, transactional, and enforcement expertise advising in the related areas of Anti-Money Laundering, Global Sanctions, Anti-Boycott, and Fraud — all areas that may be implicated in FCPA investigations and enforcement.
Please click here to view a pdf of our Foreign Corrupt Practices Act brochure.
4/26/2012
New York Times
4/25/2012
Bloomberg
4/23/2012
Law360
3/28/2012
Paul E. Pelletier and Stephanie D. Willis
Law360
3/7/2012
Financial Times
3/7/2012
BusinessWeek
8/16/2011
FoxNews.com
6/30/2011
Law360
6/13/2011
BD Week
5/11/2011
Law360
5/10/2011
Law360
3/17/2011
WSJ Blogs: Corruption Currents
9/23/2010
8/30/2010
Broker-Dealer Week (BD Week)
1/7/2010
9/9/2009
9/1/2002