Ranked in 1 Practice Areas

About

Provided by John Sikora

USA

Practice Areas

John Sikora represents companies and their executives in enforcement investigations and leads sensitive internal investigations on behalf of companies and their audit committees.

John leverages his extensive government experience with the Securities and Exchange Commission (SEC) to represent public companies, fund managers, investment advisers, and financial services firms in their most critical investigations and disputes. Prior to joining Latham, he was an Assistant Director in the Chicago Regional Office and in the Asset Management Unit of the SEC’s Enforcement Division, a national specialized unit that focuses on misconduct by investment advisers, investment companies, and private funds.

John is a frequent speaker and panelist on securities law issues. John earned the Chartered Alternative Investment Analyst designation in April 2012.

Chambers Review

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Chambers Guide to the USA

Litigation: White-Collar Crime & Government Investigations - Illinois

2
Band 2
Individual Editorial
John Sikora is held in high regard for his handling of SEC enforcement proceedings and DOJ investigations, and acts for a range of individuals and corporate entities.

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