Even the most compliance-oriented companies have problems. Problems can arise anytime, anywhere in the world and sometimes without warning. Baker Botts lawyers are adept at helping companies of all sizes and across a myriad of industries to investigate, evaluate and remediate compliance problems and, where necessary, to defend companies in government enforcement actions in the U.S. and abroad. We conduct investigations on any matter - large or small - that has the potential to raise significant regulatory, litigation, reputational or share price risks.
Clients turn to us to handle complex problems for our experience, our judgment, our ability to anticipate issues and our candid advice. We conduct targeted and appropriately scoped investigations directed at the issues that are of paramount interest to our clients, and we pride ourselves on practical solutions that avoid unnecessary effort and disruption. We have the judgment and experience to know that some matters present real risk to an enterprise and others can be addressed through remediation. We approach our cases at all times with our client's best interests in mind.
Baker Botts' investigations team brings decades of private sector and senior law enforcement experience. This team includes seasoned lawyers throughout the world, many of whom have held prior federal and state government service positions, including nationally recognized trial lawyers, a former U.S. Attorney, a former Assistant Attorney General for the Justice Department's Antitrust Division, a former Deputy director of the FTC's Bureau of Competition, the former Chief of Enforcement for the Financial Industry Regulatory Authority (FINRA), former Assistant U.S. Attorneys, state prosecutors, SEC Enforcement lawyers, and DOJ Environmental Enforcement lawyers.
Our lawyers represent clients in connection with internal investigations, as well as criminal and civil enforcement matters across a range of agencies and on issues relating to, among others:
- Cartel and Criminal Antitrust
- Catastrophic Workplace Events
- Complex Accounting and Financial Reporting
- Derivatives Regulatory, Compliance and Enforcement (CFTC)
- Environmental Crimes
- Export Controls
- False Claims Act and Qui Tam Litigation
- FCPA, UK Bribery Act and Global Anti-Corruption
- Healthcare and Anti-kickback Statutes
- SEC, FINRA and FinCen Enforcement Actions
- Trade and Economic Sanctions
- Whistleblower Reports
U.S. Supreme Court Holds that “Disseminating” But Not “Making” False Statements Can Still Constitute Securities FraudFirm Thought Leadership
Baker Botts, in partnership with Concurrences Review, will be hosting our annual complimentary Global Antitrust Seminar on Thursday, 26 September in Brussels.
Baker Botts is proud to sponsor the CDR Winter Competition Litigation symposium. This event will take place in London on the 28 February, this will be CDR’s fourth annual Winter Competition Litigation Symposium offering key insights on the development of this important practice area for corporate counsel, competition lawyers and commercial litigators alike, canvassing the latest thinking on UK , EU and US antitrust litigation.
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.
When the Government Comes Knocking: Tips and Strategies to Answering the Door and Proactively Managing Risk in the Era of Rapid Information Exchange
On Tuesday, May 22, Baker Botts will be hosting the CLE program, "When the Government Comes Knocking: Tips and Strategies to Answering the Door and Proactively Managing Risk in the Era of Rapid Information Exchange" in partnership with the Association of Corporate Counsel.