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Gregory S. Bruch is a partner in the Litigation Department of Willkie Farr & Gallagher LLP in Washington. Mr. Bruch represents public companies, audit committees and special committees, broker-dealers, hedge funds and asset managers, accountants and lawyers, and other institutions and individuals in connection with civil and criminal securities law enforcement, compliance and litigation. Mr. Bruch is recognized as a leading attorney in the area of securities law regulation and white collar defense in the 2007 – 2012 editions of The Best Lawyers in America®; in securities regulation and litigation in the 2006 – 2011 editions of Chambers USA: America's Leading Lawyers for Business, including being ranked in the number 1 tier for Litigation: Securities in the District of Columbia; and is recognized as one of Washingtonian magazine’s "Top Lawyers: Securities" (2011-2012). Additionally, he was named by Ethisphere magazine as one of the "2009 Attorneys Who Matter." Mr. Bruch has been lead counsel for securities enforcement and related matters of a number of leading companies and financial services firms, including Time Warner Inc., Adelphia Communications Corp., Cablevision Systems Corp., Hain-Celestial Corp., E*Trade Capital Markets, and Van Wagoner Capital Management. Mr. Bruch also maintains an active FCPA practice representing institutions and individuals in counseling and investigations, and served as an independent compliance consultant to ABB Ltd. in connection with a major SEC settlement. Selected Professional and Business Activities
Mr. Bruch frequently speaks at conferences, symposia and seminars on securities regulation, financial reporting and disclosure, insider trading and securities offerings, internal investigations, and the Foreign Corrupt Practices Act. From 1999 through 2005, Mr. Bruch was an adjunct professor at Georgetown University Law Center, where he taught courses in federal securities law enforcement. Additionally, he has served as a consultant to foreign securities regulators and market participants, including the Russian Federal Securities Commission.Prior Experience
Mr. Bruch served 12 years with the Securities and Exchange Commission Division of Enforcement in Washington, D.C. At the SEC, Mr. Bruch was Staff Attorney, Senior Counsel, Branch Chief and, from 1995 through 2001, Assistant Director. As Assistant Director, he supervised attorneys who investigated and prosecuted some of the SEC's most significant financial fraud and broker-dealer cases, as well as cases involving the Foreign Corrupt Practices Act, insider trading, market manipulation and public securities offerings. Mr. Bruch also supervised the Division of Enforcement's delinquent reporting program, which enforced the periodic reporting obligations of public companies and the beneficial ownership reporting obligations of corporate officers, directors and major shareholders. In 2000, he received the SEC’s Stanley Sporkin Award in recognition of his contributions to the SEC's enforcement program.Prior to joining Willkie, Mr. Bruch was a partner at Foley & Lardner LLP, where he chaired the Securities Litigation, Enforcement & Regulation Practice. Selected Publications and Lectures
Mr. Bruch’s publications include:
SPEAKING ENGAGEMENTS Education
1985, University of Iowa College of Law, J.D.1982, Stanford University, A.B. Bar Admissions
District of Columbia, 1988New York, 1987 |
Litigation
District of Columbia, 1988 New York, 1987 |