Shearman & Sterling’s Global Compliance & Anticorruption practice is widely recognized as one of the most sophisticated law practices in the world, with a team led by former DOJ prosecutors and SEC enforcement attorneys with decades of experience advising clients on anticorruption compliance reviews, investigations and enforcement actions. We have been involved with many of the largest, most complex and far-reaching anticorruption cases subject to the oversight of the DOJ, SEC and international governmental authorities.
Our depth of experience enables us to provide a wide range of anticorruption services to clients internationally, including:
The quality of our practice has been recognized by government regulators who have appointed our partners as independent monitors to conduct in-depth compliance reviews in dozens of countries, earning us a relationship of trust and credibility in the profession.
With experienced lawyers on the ground in the United States, Europe, Asia and South America, we represent multinational clients seamlessly and cost-efficiently across business lines and geographic locations. We provide local know-how and culturally sensitive advice, while always bearing in mind the need to minimize the impact on clients’ businesses and other reputational and regulatory risks.
With decades of experience, multi-jurisdictional capabilities and a reputation for toughness and integrity, Shearman & Sterling is strongly positioned to guide clients through today’s challenging criminal law and regulatory enforcement environment.
To address client needs in today's global regulatory and enforcement environment, Shearman & Sterling’s White Collar Defense & Investigations practice draws on attorneys in a number of different practice areas around the world. Our Litigation attorneys in the United States, Europe and Asia include numerous former government prosecutors and regulators who, collectively, have tried well over 100 jury trials and represent clients before all of the major government investigating agencies. Our Antitrust attorneys represent clients before competition authorities in the United States and throughout Europe. Our Financial Institutions Advisory practice includes a focus on regulatory and compliance matters on behalf of a wide variety of financial institutions and infrastructure providers in all of the key global financial centers.
Together, these attorneys have a depth of experience that is uniquely well suited to respond promptly and effectively to criminal and enforcement proceedings around the world. Some of the types of proceedings that we regularly handle include:
Securities: Investigations and enforcement proceedings brought by the U.S. Department of Justice and SEC, as well as financial regulators in Europe and Asia. Our experience includes matters relating to insider trading, false statements, market manipulation, market abuse and accounting fraud. Our related experience in private securities class actions ensures that we can cover all aspects of a securities problem.
Corruption and Money-Laundering: We have represented parties in many of the largest investigations under the U.S. Foreign Corrupt Practices Act as well as anti-corruption laws in other countries. As governments worldwide become increasingly cooperative in adopting uniform anti-corruption laws and mutual assistance treaties, the need for attorneys experienced in multi-jurisdictional proceedings is essential.
Competition: Criminal investigations and enforcement proceedings against alleged cartels and other anti-competitive activity have increased in the United States, Europe and Asia, with record fines being imposed in recent years. We regularly represent parties in such cases before the U.S. Department of Justice, the European Union and other authorities. Our related experience in private antitrust litigation ensures that we can handle all aspects of an antitrust problem.
Financial Institutions: Financial institutions face an extensive array of regulations concerning the confidentiality of information, regulatory audits, trading procedures and other aspects of their business. We represent a wide variety of businesses in the finance sector—including banks; broker-dealers; commodities, futures and derivatives participants; asset management funds, managers and administrators; exchanges and other infrastructure providers; and insurance/reinsurance companies—faced with criminal and enforcement proceedings for purported violations of such regulations in numerous jurisdictions.
Representation of Individual Executives: The representation of individual executives who become the targets of government enforcement proceedings requires special skill and experience. We are committed in such cases to guiding our clients through every facet of a case with constant attention to making certain that the client understands all procedural issues and achieving the best possible result.
The Sarbanes Oxley Act, aggressive regulators, and well-funded class action attorneys have ushered in a new era of high-stakes securities litigation. We handle all such matters, including shareholder class actions, SEC proceedings, corporate governance issues, contested takeovers, and shareholder disputes. Our securities practice draws not only on our litigation attorneys with experience in that area but also on our top-tier corporate transactional practice, which has been involved in cutting edge securities issues for many years.
We work in coordination with our Antitrust Group on private and regulatory competition matters, including Sherman Act Section 1 price-fixing claims, Sherman Act Section 2 monopolization claims, and claims arising under state antitrust and unfair competition laws. Our antitrust attorneys are located in the United States and throughout Europe, and can represent parties in multiple jurisdictions, and in both private and regulatory proceedings.
We have represented corporations, partnerships, joint ventures and other entities in a variety of business-related disputes relating to breach of contract, fraud, professional malpractice, business torts, and insurance and reinsurance matters.
Shearman & Sterling’s intellectual property litigation team is focused on meeting our clients’ goals, whether that means winning a case at trial, minimizing litigation costs, negotiating a business resolution or charting a course to avoid litigation entirely. Our approach at the beginning of every matter is to understand our clients’ business needs and direct all of our efforts toward achieving them. Because of this, our long-term clients bring us in for a conversation long before any complaint is filed.
Our intellectual property litigation practice offers a full range of legal services relating to the defense, enforcement and commercial exploitation of patents, trademarks and copyrights, as well as the defense of products and services facing a threat from others’ intellectual property assets. Fully integrated into our 100-plus lawyer litigation and global arbitration practices, our services include:
Through our extensive international footprint, we serve as global coordinating counsel in multi-jurisdictional cases and have extensive experience working with the most qualified firms in local jurisdictions.
A competitor’s false advertising can do more than rob a company of business; it can damage or even destroy a company’s brand. Shearman & Sterling’s advertising litigation team has vast experience helping clients protect their reputations and businesses against false advertising and unfair competition. We represent global and domestic clients from diverse industries in litigation under the Lanham Act and state law to stop false advertising and recover damages and unjust enrichment for the harm caused by unfair competition. Our life sciences clients include biopharmaceutical companies offering branded prescription drugs and biologics, medical device companies offering advanced diagnostic tools and personal protective equipment, and nutraceuticals companies offering medical foods, functional foods, and supplements, to name just a few. We also represent companies in the consumer product, food and beverage, agricultural, and financial services industries, as well as the manufacturing and high-tech sectors, among others. We have litigated and tried cases in federal courts throughout the United States, as well as in arbitrations and in proceedings before the Better Business Bureau’s National Advertising Division.
We also defend clients accused of false advertising, deceptive trade practices, as well as False Claims Act and Telephone Consumer Protection Act violations in class actions, qui tam litigation and government investigations. In addition to litigation, Shearman & Sterling’s attorneys work alongside our clients’ internal teams, to identify and avoid marketing pitfalls and reduce potential exposure. Our counseling includes:
Whether addressing a competitors’ false advertising and unfair competition, responding to claims or investigations, or ensuring our clients’ compliance with regulatory and industry standards, Shearman & Sterling works closely with clients to develop strategies that anticipate dangers, respond to threats, and maximize opportunities in an increasingly complex competitive landscape.
Clients rely on Shearman & Sterling to provide a one-stop solution for the most complex M&A transactions, the associated due diligence, as well as any litigation that may ultimately arise. Our litigators work closely with our transactional M&A attorneys and are often involved at the earliest stages of the transaction to provide advice and guidance throughout the process. This seamless cross-practice approach allows us to focus on our clients’ overarching business needs and to tailor both the transactional and potential litigation strategy accordingly.
Our M&A litigators represent corporations, investment banks, boards of directors, special committees and other major players involved in high-stakes transactional litigation. Our lawyers have extensive experience litigating transactional claims arising from a variety of areas, including: