Ranked in 1 Practice Areas
1

Band 1

Litigation: Securities

California

14 Years Ranked

About

Provided by John Dwyer

USA

Practice Areas

John C. Dwyer is a member of the firm's board of directors. His practice includes a variety of litigation, negotiation and counseling services in both civil and criminal matters. He has developed substantial expertise in numerous areas, including securities law; officer and director liability matters; mergers and acquisitions litigation; antitrust; white collar litigation and professional liability matters.

John has successfully represented a wide range of public companies and their officers and directors in actions arising under federal and state securities laws. He regularly represents such clients in civil class actions as well as in investigations and proceedings brought by the Securities & Exchange Commission and the US Department of Justice. John secured a major victory for Rigel Pharmaceuticals resulting in an important decision by the US Court of Appeals for the Ninth Circuit with significant implications for all publicly-traded life sciences companies.

He also has extensive experience litigating cases arising from corporate acquisitions and other major corporate transactions. He has handled such cases in Delaware courts as well as other courts around the country.

John also has substantial antitrust expertise. He has represented major US and foreign corporations in criminal antitrust matters involving the US Department of Justice and other competition authorities around the world. He also has substantial expertise representing such clients in civil antitrust litigation.

In addition to representing clients in federal and state courts, John regularly advises public and private companies and their officers and directors on a broad range of issues regarding fiduciary duties, disclosure matters, litigation strategy and compliance matters. He has also conducted numerous special investigations into allegations of possible misconduct on behalf of corporate boards and board committees.

Career

Prior to joining the Firm, John served from January to December 1997, as the acting associate attorney general for the US Department of Justice. He was selected for the post, the third highest in the Department of Justice, by President Clinton. As acting associate attorney general, he oversaw the Department's Antitrust, Civil, Environment and Natural Resources, Civil Rights and Tax divisions. From 1993 to 1997, John served as deputy associate attorney general. In that capacity, he served as a senior advisor to Attorney General Janet Reno on a wide variety of civil and criminal enforcement issues and acted as a primary liaison with the White House Counsel's Office.

Prior to attending law school, John worked as an auditor at Arthur Andersen & Co.

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