Baker Botts is positioned to guide its clients through the SEC enforcement process. Our lawyers assist domestic and international companies with various matters including compliance and reporting obligations and regularly represent public corporations, broker-dealers and individuals in enforcement proceedings before the SEC. Our experience with all phases of the investigative process is considerable and includes testimony before the SEC, responding to subpoenas, preparing Wells submissions, and litigation against the SEC.
We defend SEC investigations in all areas of the securities regulation law, including, among other things:
- Corporate Communications
- Insider Trading
- Market Manipulation
- Mutual Fund & Hedge Fund Probes
- Sale of Unregistered Securities
- UK Bribery Act
- Global Anti-corruption
We have Securities Regulatory lawyers in all our domestic offices that practice before the SEC, state securities regulators and self-regulatory organizations. With a host of SEC alumni and an NASD (now FINRA) alumna resident in our Washington and New York offices, the firm provides an informed and sure-handed approach to advising clients on the issues that arise in the context of the federal securities laws and regulations.
Energy Enforcement Insider: Recent FCPA/Manipulation Actions, SEC Climate and ESG Task Force Updates, and CFTC Carbon Market and Intermediation ActivityWebinar
White Collar Update
SEC Proposes Historic, Sweeping Disclosures of Climate-Related Risks, Financial Impacts, and EmissionsClient Updates
Supreme Court Cautiously Upholds SEC’s Ability to Obtain Disgorgement in Federal District Court ProceedingsClient Updates
U.S. Supreme Court Holds that “Disseminating” But Not “Making” False Statements Can Still Constitute Securities FraudClient Updates
Baker Botts Client Update
Baker Botts Client Update
The Wall Street Journal
Supreme Court Finds SEC ALJs are Inferior Officers Subject to the Requirements of the Appointments ClauseClient Updates
Securities Litigation Client Update
Securities Litigation Update
How Fund Managers Can Maintain Work Product Protection During Investigations After the Herrera DecisionExternal Article
Baker Botts will be hosting the Women’s White Collar Defense Association for a luncheon featuring Deborah Connor, Chief of the Money Laundering and Asset Recovery Section of the Department of Justice, on Wednesday, January 30th.
Baker Botts Partner Brad Bennett will be speaking at the Sterling Financial Services Summit on Human Capital and Compliance - Bridging the Gap in New York on June 13th.
20th Annual IA Compliance: The Full 360 Degree View East - Navigating the Shifting Landscape of IA Compliance
The conference will offer guidance on how to nimbly adjust your compliance program for this shifting regulatory arena so you can avoid embarrassing exam deficiencies and costly compliance missteps.