Chambers Research is conducted by 200 Research Analysts, across 200 jurisdictions and provides nearly 6,000 rankings tables. Annually we collect hundreds of thousands of responses from clients, the majority via in-depth interview. Learn more about our methodology.
This content is provided by Helen Gredd
For more than 25 years, Helen Gredd has successfully represented executives and entities in high-stakes white collar, regulatory, and complex commercial matters, both in the U.S. and cross-border. Her clients have included law firms, international corporations, CEOs, CFOs, compliance officers, lawyers, accountants, bankers, portfolio managers, analysts, traders, and other executives in a wide variety of industries.
Helen has appeared in matters involving the Department of Justice, the SEC, the CFTC, FINRA, the Federal Reserve Board, the New York State Attorney General, and many other enforcement authorities. She has defended clients against claims of securities fraud, banking and other financial fraud, auditor misconduct, insider trading, market manipulation, earnings management, misconduct in the sale of securities (including municipal securities, auction rate securities, mortgage-backed securities, and derivative products), Foreign Corrupt Practice Act violations, False Claims Act violations, environmental law violations, antitrust violations, false statements, obstruction of justice, and obstruction of Congress.
On the civil side, Helen has handled matters involving claims of securities fraud, banking fraud, RICO violations, breach of contract, breach of fiduciary duty, attorney misconduct, and defamation.
Assistant U.S. Attorney, SDNY (First Deputy Chief, Criminal Division; Chief Appellate Attorney); law clerk to the Hon. Leonard B. Sand, U.S. District Court, SDNY