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Regulatory

Our regulatory attorneys are leaders in antitrust, government contracts, cross-border trade and national security law. We guide innovative and oftentimes pioneering companies, both emerging and established, through a rapidly evolving regulatory landscape at the state, national and international levels.

The regulatory team’s advice and counsel is integrated closely with each client’s overall legal strategy and business objectives, on specific regulatory matters and as a component of a transaction or dispute.

White Collar Defense & Investigations

Whether you’re an established multinational or an emerging player poised to change the world, corporations and their boards are facing unprecedented scrutiny from governments and regulators. Amid this evolving and increasingly interconnected regulatory landscape, cutting-edge U.S. and multinational technology and life sciences companies across growth stages turn to Fenwick for guidance through high-stakes white collar criminal cases and regulatory investigations—as well as sensitive internal corporate investigations.

Securities Enforcement

Fenwick’s securities enforcement group represents public companies and other regulated entities and their boards, officers and employees in investigations or proceedings by the Securities and Exchange Commission (SEC), the U.S. Department of Justice (DOJ) and other governmental and self-regulatory agencies. We also conduct high-stakes and often time-sensitive internal investigations for public and private multinational corporate boards and management in response to possible insider trading, accounting fraud, Foreign Corrupt Practice Act (FCPA) violations or other alleged misconduct.