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Jonathan Redwine is a counsel in the Securities Department, and a member of the Securities Litigation and Enforcement Practice Group. He joined the firm in 2008.
Practice
Mr. Redwine’s practice focuses on securities enforcement and regulatory matters, including internal corporate investigations, securities regulatory investigations, examinations and actions, and Congressional inquiries. He has represented public companies and financial institutions under investigation by the US Securities and Exchange Commission (SEC), the Department of Justice, the US Congress, self-regulatory organizations and state attorneys general in a variety of matters.
Mr. Redwine has conducted internal corporate investigations of potential violations of the federal securities laws. Recent matters have included representation of a global financial institution in connection with congressional investigations into the causes of the 2008 financial crisis, and in connection with federal and state inquiries into shareholder disclosures. Mr. Redwine has conducted due diligence on an acquisition target for issues potentially implicating the Foreign Corrupt Practices Act (FCPA) on behalf of a public company and has advised a hedge fund on FCPA issues in connection with the sale of one of its foreign assets.
From 2001 to 2007, Mr. Redwine worked at the SEC in the Division of Enforcement, where he investigated and brought actions charging violation of the FCPA and insider trading laws. Those investigations were conducted in conjunction with US Attorney’s Offices for the Southern District and Eastern District of New York. In addition, while at the SEC Mr. Redwine conducted a wide variety of investigations into potential securities law violations including public companies’ financial disclosure and accounting, market manipulation, executive pay packages, conflicts of interest by financial advisors, and fraudulent securities offerings. Immediately prior to joining the firm, Mr. Redwine was assistant general counsel at a publicly traded insurance and financial services company, where he conducted and directed internal investigations on behalf of the company’s board of directors and implemented company-wide compliance initiatives.
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